基金详情 (013941)

历史净值

日期单位净值日增长率累计净值
2025-04-030.6013-1.49%0.6013
2025-04-020.6104-0.21%0.6104
2025-04-010.6117+5.32%0.6117
2025-03-310.5808-0.58%0.5808
2025-03-280.5842+0.92%0.5842
2025-03-270.5789+5.16%0.5789
2025-03-260.5505+1.27%0.5505
2025-03-250.5436-1.13%0.5436
2025-03-240.5498-0.25%0.5498
2025-03-210.5512-3.62%0.5512
2025-03-200.5719-0.44%0.5719
2025-03-190.5744+0.75%0.5744

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+3.87%-1.71%-1.80%37/1012优秀
近一月+10.47%-0.13%-0.69%31/1012优秀
近三月+25.30%+8.00%+2.29%24/1003优秀
近六月+10.15%+2.59%-3.89%176/975良好
近一年+19.50%+11.14%+8.23%208/933良好
近两年-13.24%-8.69%-5.60%475/834
近三年-32.23%-8.85%-9.70%644/733
近五年--+31.37%+3.99%--
今年来+22.94%+4.14%-1.87%21/1001优秀
成立以来-39.87%------

自选基金

投资策略

持仓金额

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