基金详情 (519696)

历史净值

日期单位净值日增长率累计净值
2025-04-022.4710-0.04%3.4110
2025-04-012.4720+0.12%3.4120
2025-03-312.4690-0.84%3.4090
2025-03-282.4900-1.15%3.4300
2025-03-272.5190+0.16%3.4590
2025-03-262.5150-0.51%3.4550
2025-03-252.5280-1.17%3.4680
2025-03-242.5580+1.83%3.4980
2025-03-212.5120-1.18%3.4520
2025-03-202.5420-1.01%3.4820
2025-03-192.5680+0.35%3.5080
2025-03-182.5590+1.03%3.4990

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-1.75%+0.47%-1.80%62/97
近一月-2.18%+1.40%-0.69%60/97
近三月+1.32%+8.77%+2.29%68/97
近六月+0.89%+7.23%-3.89%63/97
近一年+8.30%+20.32%+8.23%67/93
近两年+17.94%+16.42%-5.60%36/75一般
近三年+22.16%+13.49%-9.70%20/62一般
近五年+62.22%+36.39%+3.99%9/32良好
今年来+0.46%+7.73%-1.87%68/97
成立以来+307.45%------

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