华宝积极配置三个月持有混合(FOF)A

(020311)公募FOF
阶段涨幅

更新日期:2025-06-05

名称周涨幅月涨幅季度涨幅半年涨幅年涨幅今年涨幅
华宝积极配置三个月持有混合(FOF)A1.23%2.49%-4.61%-3.93%-3.25%-2.32%
FOF2.12%3.12%-0.41%6.46%39.63%3.48%
上证指数0.61%3.20%1.26%0.45%10.40%0.96%
深成指0.75%3.07%-4.72%-4.05%8.62%-2.03%
沪深3000.49%2.84%-0.64%-1.12%7.87%-1.46%
股票型3.09%5.71%1.10%9.86%41.38%6.46%
QDII3.56%4.80%-5.00%-7.05%17.05%-1.15%
混合型2.78%6.14%2.02%10.84%39.08%7.07%
FOF2.12%3.12%-0.41%6.46%39.63%3.48%
债券型0.28%0.67%0.71%1.78%3.40%1.23%
另类投资1.48%1.68%2.43%13.40%33.48%9.25%
ETF3.06%5.14%0.41%8.93%41.55%5.74%
净值货币型0.02%0.11%0.32%0.63%1.27%0.37%
季度涨幅
季度涨跌幅同类平均同类排行
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年度涨幅
年度涨跌幅同类平均同类排行
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