基金详情 (018230)

历史净值

日期单位净值日增长率累计净值
2025-05-221.1080+0.70%1.1080
2025-05-211.1003-0.53%1.1003
2025-05-201.1062+0.39%1.1062
2025-05-191.1019-0.08%1.1019
2025-05-161.1028+0.42%1.1028
2025-05-151.0982+0.07%1.0982
2025-05-141.0974+0.81%1.0974
2025-05-131.0886+0.80%1.0886
2025-05-121.0800+1.50%1.0800
2025-05-091.0640+0.12%1.0640
2025-05-081.0627+0.65%1.0627
2025-05-071.0558+0.06%1.0558

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.89%+2.04%-0.18%59/99
近一月+11.03%+8.98%+2.52%30/98一般
近三月+0.07%+3.14%-2.42%50/97
近六月-0.01%+15.21%+0.43%85/97
近一年+7.54%+19.94%+6.60%72/93
近两年--+27.79%-0.79%--
近三年--+24.58%-4.24%--
近五年--+29.41%+1.52%--
今年来-0.13%+13.38%-1.34%84/97
成立以来+10.80%------

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