景顺长城国证石油天然气ETF联接A
(021822.jj ) 国证油气 (半年) 景顺长城基金管理有限公司
基金类型指数型基金(ETF,联接型)成立日期2024-07-26总资产规模3,386.08万 (2025-12-31) 基金净值1.5232 (2026-03-11) 基金经理金璜管理费用率0.50%管托费用率0.10% (2026-03-06) 成立以来分红再投入年化收益率29.41% (794 / 5701)
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景顺长城国证石油天然气ETF联接A(021822) - 历史月度涨跌幅

数据选项
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月年度涨跌幅年度超额收益率
2026景顺长城国证石油天然气ETF联接A 12.62%7.49%5.00%------------------27.10%-4.47%
国证油气 15.03%7.08%6.81%------------------31.58%
2025景顺长城国证石油天然气ETF联接A -4.60%-2.60%1.36%-4.47%2.78%2.73%2.62%1.14%1.64%5.04%2.39%3.87%11.94%1.81%
国证油气 -4.86%-2.67%1.60%-4.81%2.83%2.11%1.64%1.20%1.16%5.00%2.55%4.53%10.13%
2024景顺长城国证石油天然气ETF联接A ---------------0.66%9.75%-4.45%0.80%1.68%6.78%-4.12%
国证油气 0.18%5.84%6.11%0.96%-0.28%-2.47%-4.39%-1.71%9.84%-5.58%1.00%1.98%10.90%
2023景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 8.34%2.00%-0.06%8.08%-7.07%0.05%3.99%-3.93%3.99%-5.75%-0.29%-1.24%7.01%
2022景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 -5.97%10.53%-5.05%-2.66%10.87%-1.12%-1.62%8.47%-5.77%-5.11%8.28%-8.03%0.05%
2021景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 -3.79%9.93%-1.58%-0.65%5.74%3.39%-3.03%20.60%18.49%-15.13%-3.01%3.86%33.93%
2020景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 -2.76%-5.72%-6.41%-0.72%-5.22%-2.40%6.33%-0.03%-5.93%-0.29%7.37%-4.07%-19.08%
2019景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 4.70%9.64%-0.25%-1.46%-5.99%-1.74%-4.64%-5.86%0.97%-2.31%-1.62%2.56%-6.87%
2018景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 6.56%-10.31%-0.49%0.33%0.87%-8.41%2.87%-1.06%9.08%-11.22%-5.82%-8.56%-25.17%
2017景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 4.25%-0.96%-3.50%-3.90%0.26%-3.40%3.47%-0.82%-1.30%-0.23%-1.94%1.72%-6.54%
2016景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 -18.86%0.45%9.62%-0.49%-3.58%-0.47%1.10%2.96%-1.20%0.98%3.31%4.85%-4.02%
2015景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 1.05%3.43%6.99%23.34%-4.62%-2.73%-15.03%-18.16%-4.59%9.36%-2.70%1.12%-8.65%
2014景顺长城国证石油天然气ETF联接A ----------------------------
国证油气 ----------------------2.59%2.59%