行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

兴银中证1000指数增强C(014832)

2025-06-06     0.9332-0.0214%
 查询其他基金该项数据
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
2025-03-31近三个月6.38004.32002.06001.27001.3800-0.1100
2025-03-31近六个月11.00008.73002.27001.78001.8900-0.1100
2025-03-31近一年17.980013.92004.06001.73001.8100-0.0800
2025-03-31近三年-2.6300-7.21004.58001.45001.5200-0.0700
2025-03-31成立至今-7.9600-11.65003.69001.44001.5300-0.0900
2024-12-31近三个月4.34004.23000.11002.16002.2800-0.1200
2024-12-31近三个月4.34004.23000.11002.16002.2800-0.1200
2024-12-31近六个月19.950020.6800-0.73002.02002.1300-0.1100
2024-12-31近六个月19.950020.6800-0.73002.02002.1300-0.1100
2024-12-31近一年4.05001.41002.64001.92002.0100-0.0900
2024-12-31近一年4.05001.41002.64001.92002.0100-0.0900
2024-12-31成立至今-13.4800-15.30001.82001.45001.5400-0.0900
2024-12-31成立至今-13.4800-15.30001.82001.45001.5400-0.0900
2024-09-30近三个月14.960015.7900-0.83001.89002.0000-0.1100
2024-09-30近六个月6.29004.77001.52001.68001.7500-0.0700
2024-09-30近一年-2.5700-5.60003.03001.65001.7300-0.0800
2024-09-30成立至今-17.0800-18.74001.66001.37001.4500-0.0800
2024-06-30近一个月-8.0300-8.15000.12001.42001.36000.0600
2024-06-30近三个月-7.5400-9.51001.97001.42001.42000.0000
2024-06-30近三个月-7.5400-9.51001.97001.42001.42000.0000
2024-06-30近六个月-13.2500-15.97002.72001.81001.8700-0.0600
2024-06-30近六个月-13.2500-15.97002.72001.81001.8700-0.0600
2024-06-30近一年-20.2200-24.61004.39001.40001.4700-0.0700
2024-06-30近一年-20.2200-24.61004.39001.40001.4700-0.0700
2024-06-30成立至今-27.8700-29.82001.95001.30001.3800-0.0800
2024-06-30成立至今-27.8700-29.82001.95001.30001.3800-0.0800
2024-03-31近三个月-6.1800-7.13000.95002.14002.2600-0.1200
2024-03-31近六个月-8.3400-9.90001.56001.62001.7200-0.1000
2024-03-31近一年-14.4800-19.82005.34001.27001.3700-0.1000
2024-03-31成立至今-21.9900-22.44000.45001.29001.3800-0.0900
2023-12-31近三个月-2.3000-2.98000.68000.89000.9800-0.0900
2023-12-31近三个月-2.3000-2.98000.68000.89000.9800-0.0900
2023-12-31近六个月-8.0300-10.28002.25000.86000.9500-0.0900
2023-12-31近六个月-8.0300-10.28002.25000.86000.9500-0.0900
2023-12-31近一年-1.6600-5.91004.25000.82000.9000-0.0800
2023-12-31近一年-1.6600-5.91004.25000.82000.9000-0.0800
2023-12-31成立至今-16.8500-16.4800-0.37001.14001.2300-0.0900
2023-12-31成立至今-16.8500-16.4800-0.37001.14001.2300-0.0900
2023-09-30近三个月-5.8600-7.52001.66000.83000.9300-0.1000
2023-09-30近六个月-6.7000-11.01004.31000.80000.9000-0.1000
2023-09-30近一年-0.2100-0.64000.43000.89000.9500-0.0600
2023-09-30成立至今-14.8900-13.9200-0.97001.17001.2600-0.0900
2023-06-30近一个月2.05000.59001.46000.88000.9900-0.1100
2023-06-30近三个月-0.8900-3.77002.88000.77000.8700-0.1000
2023-06-30近三个月-0.8900-3.77002.88000.77000.8700-0.1000
2023-06-30近六个月6.93004.87002.06000.78000.8400-0.0600
2023-06-30近六个月6.93004.87002.06000.78000.8400-0.0600
2023-06-30近一年-11.9600-5.2700-6.69001.02001.0500-0.0300
2023-06-30近一年-11.9600-5.2700-6.69001.02001.0500-0.0300
2023-06-30成立至今-9.5900-6.9100-2.68001.23001.3100-0.0800
2023-06-30成立至今-9.5900-6.9100-2.68001.23001.3100-0.0800
2023-03-31近三个月7.89008.9800-1.09000.78000.8000-0.0200
2023-03-31近六个月6.950011.6600-4.71000.97000.9900-0.0200
2023-03-31近一年-3.50001.5900-5.09001.32001.3500-0.0300
2023-03-31成立至今-8.7800-3.2700-5.51001.30001.3900-0.0900
2022-12-31近三个月-0.87002.4600-3.33001.12001.1400-0.0200
2022-12-31近三个月-0.87002.4600-3.33001.12001.1400-0.0200
2022-12-31近六个月-17.6600-9.6700-7.99001.20001.2100-0.0100
2022-12-31近六个月-17.6600-9.6700-7.99001.20001.2100-0.0100
2022-12-31成立至今-15.4500-11.2400-4.21001.40001.5000-0.1000
2022-12-31成立至今-15.4500-11.2400-4.21001.40001.5000-0.1000
2022-09-30近三个月-16.9400-11.8300-5.11001.27001.27000.0000
2022-09-30近六个月-9.7700-9.0100-0.76001.59001.6300-0.0400
2022-09-30成立至今-14.7100-13.3700-1.34001.50001.6200-0.1200
2022-06-30近一个月12.46009.59002.87001.43001.24000.1900
2022-06-30近三个月8.63003.20005.43001.87001.9500-0.0800
2022-06-30近三个月8.63003.20005.43001.87001.9500-0.0800
2022-06-30成立至今2.6900-1.74004.43001.62001.8100-0.1900
2022-06-30成立至今2.6900-1.74004.43001.62001.8100-0.1900
2022-03-31成立至今-5.4700-4.7800-0.69001.20001.6000-0.4000