基金详情 (460003)

历史净值

日期单位净值日增长率累计净值
2025-05-231.0090-0.20%1.6641
2025-05-221.0110-0.40%1.6661
2025-05-211.0151+0.20%1.6702
2025-05-201.0131+0.09%1.6682
2025-05-191.0122+0.02%1.6673
2025-05-161.0120-0.02%1.6671
2025-05-151.0122-0.57%1.6673
2025-05-141.0180-0.01%1.6731
2025-05-131.0181-0.21%1.6732
2025-05-121.0202+0.46%1.6753
2025-05-091.0155-0.33%1.6706
2025-05-081.0189+0.18%1.6740

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.30%+0.02%-0.18%1232/1355
近一月-0.03%+0.59%+2.52%1250/1349
近三月-2.05%-0.01%-2.42%1174/1297
近六月-1.70%+2.97%+0.43%1247/1254
近一年-1.05%+4.27%+6.60%1132/1158
近两年+0.21%+5.47%-0.79%858/968
近三年+7.82%+6.15%-4.24%273/784一般
近五年+14.82%+18.43%+1.52%297/517
今年来-2.17%+1.31%-1.34%1267/1276
成立以来+80.04%------

自选基金

投资策略

持仓金额

¥ 0.00