基金详情 (019934)

历史净值

日期单位净值日增长率累计净值
2025-04-031.4660-1.42%1.4660
2025-04-021.4871-0.19%1.4871
2025-04-011.4899+0.25%1.4899
2025-03-311.4862-1.82%1.4862
2025-03-281.5137-0.70%1.5137
2025-03-271.5244+0.70%1.5244
2025-03-261.5138+0.87%1.5138
2025-03-251.5008-3.64%1.5008
2025-03-241.5575+0.85%1.5575
2025-03-211.5444-2.86%1.5444
2025-03-201.5899-2.78%1.5899
2025-03-191.6353-0.31%1.6353

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
016295新华利率债债券E-0.006287.38
014938同泰产业升级混合A-0.010299.94
001438易方达瑞享混合E0.047892.97
011891易方达先锋成长混合A0.054692.82
003385工银全球美元债A人民币-0.069580.27
161029富国中证银行指数(LOF)A0.078880.18
016370信澳业绩驱动混合A-0.094188.98
020661中加科技创新混合发起式A0.113892.99
162201宏利成长混合0.120080.15
020969中信保诚全球商品主题0.143186.73
165513中信保诚全球商品主题0.146788.73
002152华宝核心优势混合A0.163982.37
501015财通多策略升级混合(LOF)A-0.168888.11
004320前海开源沪港深乐享生活0.168986.41
001302前海开源金银珠宝混合A0.170282.10