基金详情 (008303)

历史净值

日期单位净值日增长率累计净值
2025-05-231.3414-0.35%1.3835
2025-05-221.3461-0.30%1.3882
2025-05-211.3502+0.15%1.3923
2025-05-201.3482+1.14%1.3903
2025-05-191.3330+0.44%1.3751
2025-05-161.3272-0.92%1.3693
2025-05-151.3395-0.26%1.3816
2025-05-141.3430+1.14%1.3851
2025-05-131.3279-0.85%1.3700
2025-05-121.3393+1.17%1.3814
2025-05-091.3238+0.37%1.3659
2025-05-081.3189+0.58%1.3610

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.26%+0.26%+1.12%557/1027
近一月+3.00%+3.60%+3.08%574/1020
近三月+5.54%-0.20%-1.27%141/1009优秀
近六月+10.33%+2.42%-2.01%124/984优秀
近一年+15.78%+7.72%+6.83%212/943良好
近两年+29.49%-4.20%-2.24%20/846优秀
近三年+45.30%-2.93%-1.70%13/739优秀
近五年+26.60%+18.92%-0.61%150/400一般
今年来+7.27%+3.55%-1.16%219/999良好
成立以来+37.28%------

自选基金

投资策略

持仓金额

¥ 0.00