基金详情 (202801)

历史净值

日期单位净值日增长率累计净值
2025-05-220.9014-0.13%1.0424
2025-05-210.9026-0.78%1.0436
2025-05-200.9097+0.08%1.0507
2025-05-190.9090+0.21%1.0500
2025-05-160.9071+0.20%1.0481
2025-05-150.9053+0.10%1.0463
2025-05-140.9044-0.07%1.0454
2025-05-130.9050+0.32%1.0460
2025-05-120.9021+1.37%1.0431
2025-05-090.8899+0.09%1.0309
2025-05-080.8891+0.42%1.0301
2025-05-070.8854-0.14%1.0264

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.43%+0.23%-0.18%48/74
近一月+4.63%+11.55%+2.52%69/74
近三月+0.76%-0.59%-2.42%26/73一般
近六月+2.43%+7.91%+0.43%42/72
近一年-5.66%+12.86%+6.60%65/69
近两年+3.14%+31.49%-0.79%51/56
近三年+4.09%+33.02%-4.24%34/39
近五年-2.32%+49.47%+1.52%30/32
今年来+3.45%+6.03%-1.34%32/72一般
成立以来+2.15%------

自选基金

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持仓金额

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