基金详情 (013893)

历史净值

日期单位净值日增长率累计净值
2025-05-230.8880-0.96%0.8880
2025-05-220.8966-0.47%0.8966
2025-05-210.9008-0.20%0.9008
2025-05-200.9026+0.22%0.9026
2025-05-190.9006+0.01%0.9006
2025-05-160.9005-0.51%0.9005
2025-05-150.9051-1.20%0.9051
2025-05-140.9161+0.37%0.9161
2025-05-130.9127-0.14%0.9127
2025-05-120.9140+0.46%0.9140
2025-05-090.9098-1.86%0.9098
2025-05-080.9270-0.34%0.9270

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
004998长信全球债券人民币-0.019181.04
001302前海开源金银珠宝混合A0.026691.58
001466华富永鑫灵活配置混合A0.027290.50
161810银华内需精选混合(LOF)-0.028885.68
009394银华同力精选混合-0.036886.47
020969中信保诚全球商品主题0.040387.96
019630银华美元债精选债券(Q-0.044781.98
165513中信保诚全球商品主题0.045090.31
005970国泰消费优选股票0.047685.71
017970摩根海外稳健配置混合-0.048589.05
007204银华美元债精选债券(Q-0.052082.95
014661天弘上海金ETF发起联接A0.058386.96
009033建信上海金ETF联接A0.059091.84
022347中银上海金ETF联接E0.059085.30
018391南方上海金ETF联接A0.059383.63