基金详情 (000043)

历史净值

日期单位净值日增长率累计净值
2025-04-024.4700+0.77%4.4700
2025-04-014.4360+0.77%4.4360
2025-03-314.4020+0.18%4.4020
2025-03-284.3940-2.36%4.3940
2025-03-274.5000-0.68%4.5000
2025-03-264.5310-2.20%4.5310
2025-03-254.6330+0.39%4.6330
2025-03-244.6150+2.21%4.6150
2025-03-214.5150+0.44%4.5150
2025-03-204.4950-0.04%4.4950
2025-03-194.4970+1.38%4.4970
2025-03-184.4360-1.60%4.4360

自选基金

投资策略

持仓金额

¥ 0.00