基金详情 (002519)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1326+0.02%1.3370
2025-04-021.1324+0.00%1.3368
2025-04-011.1324+0.01%1.3368
2025-03-311.1323+0.01%1.3367
2025-03-281.1322+0.01%1.3366
2025-03-271.1321+0.00%1.3365
2025-03-261.1321+0.01%1.3365
2025-03-251.1320+0.01%1.3364
2025-03-241.1319+0.01%1.3363
2025-03-211.1318+0.01%1.3362
2025-03-201.1317+0.01%1.3361
2025-03-191.1316+0.01%1.3360

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.04%+0.35%-1.80%2900/3038
近一月+0.12%+0.36%-0.69%2963/3331
近三月-0.03%-0.13%+2.29%1298/3300一般
近六月+1.43%+2.02%-3.89%2457/3166
近一年+2.69%+3.74%+8.23%2227/2894
近两年+6.78%+8.57%-5.60%1658/2409
近三年+13.87%+11.81%-9.70%155/2039优秀
近五年+19.03%+18.37%+3.99%301/1417良好
今年来+0.11%+0.07%-1.87%1456/3296一般
成立以来+38.29%------

自选基金

投资策略

持仓金额

¥ 0.00