基金详情 (501225)

历史净值

日期单位净值日增长率累计净值
2025-05-221.3968-0.57%1.3968
2025-05-211.4048-1.62%1.4048
2025-05-201.4279+0.07%1.4279
2025-05-191.4269-0.33%1.4269
2025-05-161.4316-0.42%1.4316
2025-05-151.4376-0.83%1.4376
2025-05-141.4497+0.62%1.4497
2025-05-131.4408+1.99%1.4408
2025-05-121.4127+5.08%1.4127
2025-05-091.3444+0.12%1.3444
2025-05-081.3428+0.80%1.3428
2025-05-071.3322+1.20%1.3322

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-2.84%+0.23%-0.18%72/74
近一月+15.49%+11.55%+2.52%18/74良好
近三月-7.91%-0.59%-2.42%64/73
近六月-2.38%+7.91%+0.43%61/72
近一年+4.80%+12.86%+6.60%51/69
近两年+39.53%+31.49%-0.79%22/56一般
近三年--+33.02%-4.24%--
近五年--+49.47%+1.52%--
今年来-3.60%+6.03%-1.34%64/72
成立以来+39.68%------

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