基金详情 (006113)

历史净值

日期单位净值日增长率累计净值
2025-05-231.5342-0.80%1.5342
2025-05-221.5465-0.11%1.5465
2025-05-211.5482+1.93%1.5482
2025-05-201.5189+4.41%1.5189
2025-05-191.4547+1.35%1.4547
2025-05-161.4353+2.20%1.4353
2025-05-151.4044+0.06%1.4044
2025-05-141.4035-0.17%1.4035
2025-05-131.4059+1.44%1.4059
2025-05-121.3860-4.11%1.3860
2025-05-091.4454+0.99%1.4454
2025-05-081.4313-0.32%1.4313

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+6.89%+0.06%-0.18%58/4712优秀
近一月+4.74%+1.76%+2.52%549/4690优秀
近三月+15.09%-3.72%-2.42%98/4620优秀
近六月+17.72%+4.79%+0.43%366/4524优秀
近一年+14.44%+8.18%+6.60%1025/4279良好
近两年-17.52%-4.71%-0.79%3002/3701
近三年-25.83%-9.37%-4.24%2409/2948
近五年-25.74%+15.41%+1.52%953/1022
今年来+22.31%+3.72%-1.34%172/4574优秀
成立以来+53.42%------

自选基金

投资策略

持仓金额

¥ 0.00