基金详情 (009249)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1956+0.16%1.1956
2025-04-021.1937+0.04%1.1937
2025-04-011.1932+0.00%1.1932
2025-03-311.1932-0.03%1.1932
2025-03-281.1936+0.06%1.1936
2025-03-271.1929+0.05%1.1929
2025-03-261.1923-0.05%1.1923
2025-03-251.1929+0.10%1.1929
2025-03-241.1917+0.22%1.1917
2025-03-211.1891-0.23%1.1891
2025-03-201.1918+0.03%1.1918
2025-03-191.1914+0.10%1.1914

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.23%-0.19%-1.80%203/1342良好
近一月+0.93%+0.27%-0.69%153/1370优秀
近三月+0.42%+1.30%+2.29%910/1359
近六月+0.36%+2.03%-3.89%1086/1333
近一年+3.47%+4.93%+8.23%877/1319
近两年+8.50%+3.20%-5.60%170/1211优秀
近三年+9.69%+4.45%-9.70%204/1077良好
近五年--+20.82%+3.99%--
今年来+0.40%+0.73%-1.87%719/1359
成立以来+19.56%------

自选基金

投资策略

持仓金额

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