基金详情 (008400)

历史净值

日期单位净值日增长率累计净值
2025-05-231.3010-0.92%1.3685
2025-05-221.3131-0.67%1.3806
2025-05-211.3219-0.06%1.3894
2025-05-201.3227+0.71%1.3902
2025-05-191.3134-0.11%1.3809
2025-05-161.3148+0.40%1.3823
2025-05-151.3095-1.56%1.3770
2025-05-141.3303+0.05%1.3978
2025-05-131.3296-0.24%1.3971
2025-05-121.3328+1.61%1.4003
2025-05-091.3117-0.89%1.3792
2025-05-081.3235+0.74%1.3910

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
005970国泰消费优选股票-0.010385.71
017436华宝纳斯达克精选股票发-0.018884.52
009394银华同力精选混合0.022686.47
161810银华内需精选混合(LOF)0.027885.68
014661天弘上海金ETF发起联接A0.050686.96
018391南方上海金ETF联接A0.052183.63
009033建信上海金ETF联接A0.054391.84
016581嘉实上海金ETF发起联接A0.055082.29
022347中银上海金ETF联接E0.057085.30
009477中银上海金ETF联接A0.057485.97
001302前海开源金银珠宝混合A0.058091.58
008986广发上海金ETF联接A0.058689.25
009504富国上海金ETF联接A0.059986.02
008701华夏黄金ETF联接A0.066683.25
020969中信保诚全球商品主题0.067587.96