东财食品饮料指数增强C
(012341.jj)CS食品饮西藏东财基金管理有限公司
成立日期2021-11-02
总资产规模
1,972.84万 (2024-06-30)
基金类型指数型基金当前净值0.5811基金经理杨路炜管理费用率1.20%管托费用率0.10%成立以来分红再投入年化收益率-18.02%
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东财食品饮料指数增强C(012341) - 历史月度涨跌幅

最后更新于:2024-07-26

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基金名称1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024东财食品饮料指数增强C -11.24%9.81%2.01%2.19%-3.85%-10.48%-4.33%-----------16.34%
CS食品饮 -11.80%10.43%1.54%1.83%-4.05%-12.14%-4.39%-----------18.83%
2023东财食品饮料指数增强C 4.34%2.01%-1.72%-6.14%-8.13%-0.71%8.12%-6.14%-2.96%-1.04%-2.14%-5.55%-19.33%
CS食品饮 3.83%2.24%-2.48%-6.41%-8.44%-0.95%8.06%-7.06%-2.15%-0.64%-1.63%-5.71%-20.43%
2022东财食品饮料指数增强C -11.14%1.31%-11.27%4.37%1.67%12.53%-10.33%1.22%-2.73%-17.91%12.77%10.05%-14.21%
CS食品饮 -11.65%0.97%-11.85%3.60%2.41%12.68%-10.52%0.94%-3.26%-19.41%15.27%10.81%-15.45%
2021东财食品饮料指数增强C -----------------------0.18%--
CS食品饮 0.18%-7.35%-3.91%8.03%7.79%-6.02%-18.21%-3.00%10.79%3.26%-0.28%3.15%-8.87%
2020东财食品饮料指数增强C --------------------------
CS食品饮 -3.79%-2.92%6.08%5.76%10.39%8.24%18.21%14.05%-10.44%4.61%1.80%18.97%91.51%
2019东财食品饮料指数增强C --------------------------
CS食品饮 6.78%13.42%16.68%3.42%-2.85%8.69%-3.40%5.74%-3.14%1.71%-1.63%4.23%59.23%
2018东财食品饮料指数增强C --------------------------
CS食品饮 4.20%-7.47%-3.57%-0.27%17.94%-8.28%-1.77%-11.44%7.73%-21.05%5.60%-0.59%-22.09%
2017东财食品饮料指数增强C --------------------------
CS食品饮 0.09%4.70%2.84%-2.25%-0.70%7.35%1.77%2.37%6.06%6.98%-4.88%8.86%37.46%
2016东财食品饮料指数增强C --------------------------
CS食品饮 -21.85%-0.76%16.48%-0.17%1.67%5.42%4.64%-0.62%-3.04%5.77%1.99%-3.53%1.42%
2015东财食品饮料指数增强C --------------------------
CS食品饮 -----------8.25%-13.48%-11.23%-5.51%9.50%2.66%7.49%-19.55%