基金详情 (007549)

历史净值

日期单位净值日增长率累计净值
2025-05-231.6932-1.06%1.6932
2025-05-221.7113-0.09%1.7113
2025-05-211.7128-0.38%1.7128
2025-05-201.7194+0.10%1.7194
2025-05-191.7176-0.24%1.7176
2025-05-161.7217-0.12%1.7217
2025-05-151.7238-1.38%1.7238
2025-05-141.7479+0.51%1.7479
2025-05-131.7391+0.36%1.7391
2025-05-121.7328+1.06%1.7328
2025-05-091.7146-0.83%1.7146
2025-05-081.7289+0.09%1.7289

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-1.66%-0.15%-0.18%2041/2348
近一月-3.52%+1.12%+2.52%2243/2343
近三月-0.44%-3.28%-2.42%935/2329一般
近六月+1.58%+2.74%+0.43%1222/2303
近一年+0.22%+6.14%+6.60%1565/2257
近两年-16.17%-3.02%-0.79%1730/2155
近三年-14.87%-5.27%-4.24%1407/2033
近五年+46.42%+19.40%+1.52%272/1737良好
今年来+3.76%+1.71%-1.34%593/2318良好
成立以来+69.32%------

自选基金

投资策略

持仓金额

¥ 0.00