基金详情 (161724)

历史净值

日期单位净值日增长率累计净值
2025-04-031.8357-0.77%1.3036
2025-04-021.8500-0.11%1.3131
2025-04-011.8521+1.27%1.3145
2025-03-311.8288-1.75%1.2990
2025-03-281.8614-2.00%1.3207
2025-03-271.8993-0.93%1.3459
2025-03-261.9171-0.38%1.3577
2025-03-251.9244+2.20%1.3626
2025-03-241.8829-0.06%1.3350
2025-03-211.8840-0.43%1.3357
2025-03-201.8922+1.07%1.3411
2025-03-191.8721+0.72%1.3278

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-3.35%-1.87%-1.80%3057/3624
近一月+3.74%-1.09%-0.69%206/3589优秀
近三月-0.85%+6.45%+2.29%3305/3444
近六月-7.13%+2.62%-3.89%2740/3077
近一年-5.92%+14.73%+8.23%2562/2697
近两年+5.58%-2.53%-5.60%472/2116良好
近三年+3.06%-3.48%-9.70%560/1719一般
近五年+156.27%+24.34%+3.99%1/947优秀
今年来-3.92%+1.96%-1.87%3073/3442
成立以来+38.83%------

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