基金详情 (009537)

历史净值

日期单位净值日增长率累计净值
2025-05-230.8150-1.67%0.8650
2025-05-220.8288-1.03%0.8788
2025-05-210.8374-0.39%0.8874
2025-05-200.8407+0.44%0.8907
2025-05-190.8370-0.52%0.8870
2025-05-160.8414+0.38%0.8914
2025-05-150.8382-2.27%0.8882
2025-05-140.8577+0.33%0.9077
2025-05-130.8549-0.84%0.9049
2025-05-120.8621+2.21%0.9121
2025-05-090.8435-2.25%0.8935
2025-05-080.8629+1.18%0.9129

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.25%+0.26%+1.12%735/1027
近一月+9.39%+3.60%+3.08%33/1020优秀
近三月-5.52%-0.20%-1.27%802/1009
近六月+3.23%+2.42%-2.01%389/984一般
近一年+28.97%+7.72%+6.83%56/943优秀
近两年+39.74%-4.20%-2.24%3/846优秀
近三年+17.76%-2.93%-1.70%115/739良好
近五年--+18.92%-0.61%--
今年来+5.40%+3.55%-1.16%323/999一般
成立以来-11.87%------

自选基金

投资策略

持仓金额

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