基金详情 (015394)

历史净值

日期单位净值日增长率累计净值
2025-04-032.4549-1.45%2.4549
2025-04-022.4909+0.07%2.4909
2025-04-012.4891-0.97%2.4891
2025-03-312.5135+2.08%2.5135
2025-03-282.4624-0.84%2.4624
2025-03-272.4832-0.52%2.4832
2025-03-262.4963+0.82%2.4963
2025-03-252.4761-1.62%2.4761
2025-03-242.5170-1.53%2.5170
2025-03-212.5561-3.21%2.5561
2025-03-202.6410-0.79%2.6410
2025-03-192.6620-1.56%2.6620

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
003385工银全球美元债A人民币0.009280.27
017436华宝纳斯达克精选股票发-0.056984.52
016295新华利率债债券E-0.077587.38
161029富国中证银行指数(LOF)A0.106480.18
017144华宝海外新能源汽车股票0.113182.39
020969中信保诚全球商品主题0.127686.73
165513中信保诚全球商品主题0.129988.73
018543汇添富黄金及贵金属(Q0.132892.24
164701汇添富黄金及贵金属(Q0.142291.81
320013诺安全球黄金0.146589.06
160719嘉实黄金0.147290.61
001302前海开源金银珠宝混合A0.169782.10
501015财通多策略升级混合(LOF)A0.181488.11
020458平安医药精选股票A0.203197.43
006720平安核心优势混合A0.225795.86