基金详情 (012724)

历史净值

日期单位净值日增长率累计净值
2025-05-230.7310-0.85%0.7310
2025-05-220.7373-0.74%0.7373
2025-05-210.7428-0.31%0.7428
2025-05-200.7451+1.10%0.7451
2025-05-190.7370+0.59%0.7370
2025-05-160.7327-0.43%0.7327
2025-05-150.7359+0.01%0.7359
2025-05-140.7358+1.10%0.7358
2025-05-130.7278+0.00%0.7278
2025-05-120.7278-0.16%0.7278
2025-05-090.7290-0.29%0.7290
2025-05-080.7311-0.18%0.7311

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%-0.42%-0.18%1896/3906一般
近一月0.00%+1.77%+2.52%3151/3795
近三月+6.10%-4.23%-2.42%151/3551优秀
近六月+2.86%+1.73%+0.43%1132/3215一般
近一年-12.15%+12.77%+6.60%2747/2807
近两年-16.28%+1.55%-0.79%1863/2180
近三年-22.65%+1.12%-4.24%1547/1763
近五年--+19.18%+1.52%--
今年来+3.31%+1.21%-1.34%804/3435良好
成立以来-26.90%------

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