基金详情 (007113)

历史净值

日期单位净值日增长率累计净值
2025-05-230.8867-0.74%0.8867
2025-05-220.8933-0.73%0.8933
2025-05-210.8999-1.54%0.8999
2025-05-200.9140+0.15%0.9140
2025-05-190.9126-0.85%0.9126
2025-05-160.9204+0.32%0.9204
2025-05-150.9175-3.91%0.9175
2025-05-140.9548-0.39%0.9548
2025-05-130.9585+0.08%0.9585
2025-05-120.9577+1.32%0.9577
2025-05-090.9452-2.41%0.9452
2025-05-080.9685+0.65%0.9685

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-3.66%+0.06%-0.18%4602/4712
近一月-0.96%+1.76%+2.52%4000/4690
近三月-15.40%-3.72%-2.42%4257/4620
近六月-3.63%+4.79%+0.43%3855/4524
近一年+10.40%+8.18%+6.60%1519/4279一般
近两年-6.06%-4.71%-0.79%1834/3701一般
近三年-19.60%-9.37%-4.24%2050/2948
近五年-12.56%+15.41%+1.52%831/1022
今年来-4.85%+3.72%-1.34%4099/4574
成立以来-11.34%------

自选基金

投资策略

持仓金额

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