基金详情 (002682)

历史净值

日期单位净值日增长率累计净值
2025-05-231.0650-0.56%1.8900
2025-05-221.0710-0.94%1.8960
2025-05-211.0812-0.72%1.9062
2025-05-201.0890-0.04%1.9140
2025-05-191.0894-0.35%1.9144
2025-05-161.0932+0.52%1.9182
2025-05-151.0875-1.72%1.9125
2025-05-141.1065-0.13%1.9315
2025-05-131.1079-0.28%1.9329
2025-05-121.1110+1.35%1.9360
2025-05-091.0962-2.03%1.9212
2025-05-081.1189+0.57%1.9439

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
007540华泰保兴安悦债券A-0.024281.93
001955中欧养老产业混合A0.031581.26
005212汇安稳裕债券A-0.033182.57
016295新华利率债债券E-0.053987.38
018438财通资管品质消费混合发起式A0.053981.76
002518民生加银鑫福混合A-0.065082.87
001195工银农业产业股票0.075883.59
539003建信富时100指数(Q0.077480.09
002849金信智能中国2025混合A0.079786.33
003715宝盈消费主题混合0.097780.12
017436华宝纳斯达克精选股票发0.110484.52
004998长信全球债券人民币-0.110581.04
004119广发创新驱动灵活配置混合0.133483.65
005970国泰消费优选股票-0.135385.71
020969中信保诚全球商品主题0.150887.96