基金详情 (161010)

历史净值

日期单位净值日增长率累计净值
2025-04-031.2276+0.40%2.1031
2025-04-021.2227+0.24%2.0982
2025-04-011.2198+0.02%2.0953
2025-03-311.2196-0.07%2.0951
2025-03-281.2204-0.14%2.0959
2025-03-271.2221+0.02%2.0976
2025-03-261.2218+0.17%2.0973
2025-03-251.2197+0.10%2.0952
2025-03-241.2185-0.33%2.0940
2025-03-211.2225-1.15%2.0980
2025-03-201.2367-0.17%2.1122
2025-03-191.2388-0.27%2.1143

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.45%+0.14%-1.80%66/746优秀
近一月+0.26%+0.29%-0.69%491/809
近三月+4.74%+0.52%+2.29%13/799优秀
近六月+5.72%+2.72%-3.89%59/777优秀
近一年+14.69%+4.11%+8.23%9/715优秀
近两年+11.33%+7.06%-5.60%39/640优秀
近三年+13.59%+9.90%-9.70%76/575优秀
近五年+30.14%+19.99%+3.99%25/434优秀
今年来+3.91%+0.56%-1.87%9/799优秀
成立以来+170.31%------

自选基金

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持仓金额

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