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国泰全球绝对收益型基金优选现汇(QDII)(001935)

2020-10-21     0.9700-0.1030%
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报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2020-09-30近三个月2.01000.80001.21000.14000.3700-0.2300
2020-09-30近六个月3.21001.60001.61000.14000.5500-0.4100
2020-09-30近一年1.58003.7800-2.20000.20001.1600-0.9600
2020-09-30近三年1.900014.3900-12.49000.16000.9000-0.7400
2020-09-30成立至今-3.400022.0900-25.49000.16000.9000-0.7400
2020-06-30近一个月0.42000.28000.14000.18000.7100-0.5300
2020-06-30近三个月1.18000.81000.37000.15000.7000-0.5500
2020-06-30近三个月1.18000.81000.37000.15000.7000-0.5500
2020-06-30近六个月-1.35001.8200-3.17000.25001.4900-1.2400
2020-06-30近六个月-1.35001.8200-3.17000.25001.4900-1.2400
2020-06-30近一年0.11004.1500-4.04000.19001.2800-1.0900
2020-06-30近一年0.11004.1500-4.04000.19001.2800-1.0900
2020-06-30近三年1.180014.7300-13.55000.16000.9200-0.7600
2020-06-30近三年1.180014.7300-13.55000.16000.9200-0.7600
2020-06-30成立至今-5.300021.2900-26.59000.16000.9200-0.7600
2020-06-30成立至今-5.300021.2900-26.59000.16000.9200-0.7600
2020-03-31近三个月-2.50001.0200-3.52000.32001.9700-1.6500
2019-12-31近三个月0.95001.1600-0.21000.11000.9500-0.8400
2019-12-31近三个月0.95001.1600-0.21000.11000.9500-0.8400
2019-12-31近六个月1.48002.3200-0.84000.10001.0400-0.9400
2019-12-31近一年4.12004.9400-0.82000.10000.9300-0.8300
2019-12-31近三年2.780015.1300-12.35000.13000.7500-0.6200
2019-12-31成立至今-4.000019.4700-23.47000.15000.8200-0.6700
2019-09-30近三个月0.53001.1700-0.64000.10001.1200-1.0200
2019-06-30近一个月1.07000.39000.68000.11000.9900-0.8800
2019-06-30近三个月0.53001.2700-0.74000.11000.8400-0.7300
2019-06-30近三个月0.53001.2700-0.74000.11000.8400-0.7300
2019-06-30近六个月2.60002.6100-0.01000.11000.8100-0.7000
2019-06-30近一年-0.94005.5300-6.47000.14000.6800-0.5400
2019-06-30近三年-1.560014.8300-16.39000.14000.7300-0.5900
2019-06-30成立至今-5.400017.1400-22.54000.15000.7800-0.6300
2019-03-31近三个月2.06001.34000.72000.10000.7800-0.6800
2018-12-31近三个月-3.46001.4700-4.93000.19000.5900-0.4000
2018-12-31近三个月-3.46001.4700-4.93000.19000.5900-0.4000
2018-12-31近六个月-3.46002.9200-6.38000.17000.5100-0.3400
2018-12-31近一年-3.76005.6200-9.38000.17000.5900-0.4200
2018-12-31近三年-7.620014.1900-21.81000.16000.7700-0.6100
2018-12-31成立至今-7.800014.5300-22.33000.16000.7800-0.6200
2018-09-30近三个月0.00001.4500-1.45000.13000.4100-0.2800
2018-06-30近一个月-0.93000.4600-1.39000.13000.4800-0.3500
2018-06-30近三个月-0.10001.4000-1.50000.13000.6600-0.5300
2018-06-30近三个月-0.10001.4000-1.50000.13000.6600-0.5300
2018-06-30近六个月-0.31002.7000-3.01000.17000.6500-0.4800
2018-06-30近一年2.03005.0500-3.02000.15000.6000-0.4500
2018-06-30成立至今-4.500011.6100-16.11000.16000.8200-0.6600
2018-03-31近三个月-0.21001.3100-1.52000.20000.6500-0.4500
2017-12-31近三个月1.05001.2100-0.16000.13000.5000-0.3700
2017-12-31近三个月1.05001.2100-0.16000.13000.5000-0.3700
2017-12-31近六个月2.35002.35000.00000.12000.5500-0.4300
2017-12-31近一年2.57004.5700-2.00000.12000.6700-0.5500
2017-12-31成立至今-4.20008.9100-13.11000.16000.8500-0.6900
2017-09-30近三个月1.28001.14000.14000.12000.5900-0.4700
2017-06-30近一个月0.21000.3700-0.16000.13000.5200-0.3900
2017-06-30近三个月-0.21001.1100-1.32000.12000.6600-0.5400
2017-06-30近三个月-0.21001.1100-1.32000.12000.6600-0.5400
2017-06-30近六个月0.21002.2200-2.01000.11000.7900-0.6800
2017-06-30近一年-2.60004.2500-6.85000.14000.8700-0.7300
2017-06-30成立至今-6.40006.5600-12.96000.16000.9300-0.7700
2017-03-31近三个月0.43001.1100-0.68000.11000.9000-0.7900
2016-12-31近三个月-3.01001.0600-4.07000.18000.9800-0.8000
2016-12-31近三个月-3.01001.0600-4.07000.18000.9800-0.8000
2016-12-31近六个月-2.81002.0300-4.84000.16000.9400-0.7800
2016-12-31近一年-6.41004.0000-10.41000.19001.0000-0.8100
2016-12-31成立至今-6.60004.3400-10.94000.18000.9900-0.8100
2016-09-30近三个月0.21000.9700-0.76000.13000.9000-0.7700
2016-06-30近一个月-1.94000.3100-2.25000.21001.3200-1.1100
2016-06-30近三个月-2.34000.9700-3.31000.17001.0400-0.8700
2016-06-30近三个月-2.34000.9700-3.31000.17001.0400-0.8700
2016-06-30近六个月-3.71001.9700-5.68000.22001.0400-0.8200
2016-06-30成立至今-3.90002.3100-6.21000.20001.0300-0.8300
2016-03-31近三个月-1.40000.6000-2.00000.26001.0900-0.8300