基金详情 (004784)

历史净值

日期单位净值日增长率累计净值
2025-04-032.7055-1.88%2.7055
2025-04-022.7572+0.66%2.7572
2025-04-012.7392-0.37%2.7392
2025-03-312.7493+0.26%2.7493
2025-03-282.7423-0.68%2.7423
2025-03-272.7611-0.26%2.7611
2025-03-262.7683+0.36%2.7683
2025-03-252.7583-2.74%2.7583
2025-03-242.8359-0.22%2.8359
2025-03-212.8421-2.92%2.8421
2025-03-202.9277-1.30%2.9277
2025-03-192.9663-1.93%2.9663

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-2.01%-1.71%-1.80%503/1012一般
近一月-4.16%-0.13%-0.69%812/1012
近三月+4.88%+8.00%+2.29%616/1003
近六月+5.65%+2.59%-3.89%287/975良好
近一年+16.45%+11.14%+8.23%259/933良好
近两年-12.87%-8.69%-5.60%465/834
近三年-5.27%-8.85%-9.70%256/733一般
近五年+114.23%+31.37%+3.99%17/387优秀
今年来+0.02%+4.14%-1.87%727/1001
成立以来+170.55%------

自选基金

投资策略

持仓金额

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