基金详情 (006340)

历史净值

日期单位净值日增长率累计净值
2025-05-231.1593+0.03%1.2160
2025-05-221.1590-0.02%1.2157
2025-05-211.1592-0.10%1.2159
2025-05-201.1604-0.08%1.2171
2025-05-191.1613+0.22%1.2180
2025-05-161.1588+0.02%1.2155
2025-05-151.1586-0.05%1.2153
2025-05-141.1592-0.01%1.2159
2025-05-131.1593+0.14%1.2160
2025-05-121.1577-0.58%1.2144
2025-05-091.1645-0.03%1.2212
2025-05-081.1649+0.13%1.2216

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%+0.09%-0.18%2650/3404
近一月-0.17%+0.27%+2.52%3372/3390
近三月-0.09%+0.74%-2.42%3269/3315
近六月+1.76%+1.89%+0.43%1609/3216
近一年+3.88%+3.54%+6.60%722/2971良好
近两年+8.64%+8.11%-0.79%447/2445良好
近三年+10.91%+11.39%-4.24%700/2075一般
近五年+15.34%+18.02%+1.52%849/1470
今年来-0.32%+0.51%-1.34%3161/3287
成立以来+22.73%------

自选基金

投资策略

持仓金额

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