基金详情 (002849)

历史净值

日期单位净值日增长率累计净值
2025-04-032.0482-0.27%2.3125
2025-04-022.0537+1.18%2.3180
2025-04-012.0297-0.63%2.2940
2025-03-312.0425-0.17%2.3068
2025-03-282.0460-0.84%2.3103
2025-03-272.0634+0.51%2.3277
2025-03-262.0529-0.22%2.3172
2025-03-252.0575+0.25%2.3218
2025-03-242.0524+0.56%2.3167
2025-03-212.0410-1.30%2.3053
2025-03-202.0679-0.76%2.3322
2025-03-192.0837+0.84%2.3480

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.74%-1.50%-1.80%831/2329一般
近一月+1.13%-0.55%-0.69%568/2337良好
近三月+6.86%+4.92%+2.29%684/2326良好
近六月+7.77%+1.61%-3.89%386/2295良好
近一年+28.06%+7.48%+8.23%126/2257优秀
近两年+47.67%-7.25%-5.60%1/2146优秀
近三年+52.06%-7.62%-9.70%8/2025优秀
近五年+99.24%+25.66%+3.99%51/1723优秀
今年来+3.44%+1.97%-1.87%656/2324良好
成立以来+156.08%------

自选基金

投资策略

持仓金额

¥ 0.00