0.9512
-0.46%-0.0044
单位净值 [2022-09-23]
- 最近一月:-3.40%
- 最近一季:-4.82%
- 最近半年:-2.26%
- 今年以来:-6.04%
- 最近一年:-8.49%
- 最近两年:-4.89%
- 最近三年:-4.94%
- 成立以来:-4.88%
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成立日期:2013-05-10
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基金评级:
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基金公司:
上海海通证券资产
综合评级★★★★★ 5星基金经理班底★★★☆☆ 3星
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2022-09-23 |
0.9512 |
1.4139 |
| 2022-09-22 |
0.9556 |
1.4204 |
| 2022-09-21 |
0.9572 |
1.4228 |
| 2022-09-20 |
0.9592 |
1.4258 |
| 2022-09-19 |
0.9535 |
1.4173 |
| 2022-09-16 |
0.9544 |
1.4186 |
| 2022-09-15 |
0.9610 |
1.4284 |
| 2022-09-14 |
0.9707 |
1.4428 |
| 2022-09-13 |
0.9748 |
1.4489 |
| 2022-09-09 |
0.9730 |
1.4463 |
| 2022-09-08 |
0.9718 |
1.4445 |
| 2022-09-07 |
0.9771 |
1.4524 |
| 2022-09-06 |
0.9726 |
1.4457 |
| 2022-09-05 |
0.9666 |
1.4368 |
| 2022-09-02 |
0.9638 |
1.4326 |
| 2022-09-01 |
0.9645 |
1.4336 |
| 2022-08-31 |
0.9659 |
1.4357 |
| 2022-08-30 |
0.9764 |
1.4513 |
| 2022-08-29 |
0.9804 |
1.4573 |
| 2022-08-26 |
0.9794 |
1.4558 |