基金详情 (015382)

历史净值

日期单位净值日增长率累计净值
2025-05-230.9187+0.33%0.9687
2025-05-220.9157-0.47%0.9657
2025-05-210.9200+2.92%0.9700
2025-05-200.8939+0.47%0.9439
2025-05-190.8897+0.49%0.9397
2025-05-160.8854-0.14%0.9354
2025-05-150.8866-1.08%0.9366
2025-05-140.8963+0.64%0.9463
2025-05-130.8906+0.82%0.9406
2025-05-120.8834+0.43%0.9334
2025-05-090.8796+0.30%0.9296
2025-05-080.8770-0.71%0.9270

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.66%+0.30%+1.12%1705/4703一般
近一月+2.80%+4.05%+3.08%2901/4685
近三月+6.60%-0.55%-1.27%452/4620优秀
近六月+7.77%+2.71%-2.01%883/4525良好
近一年+12.25%+7.08%+6.83%1133/4271良好
近两年-11.02%-4.94%-2.24%2329/3698
近三年---6.83%-1.70%--
近五年--+12.61%-0.61%--
今年来+12.15%+3.65%-1.16%506/4578优秀
成立以来-7.12%------

自选基金

投资策略

持仓金额

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