基金详情 (000220)

历史净值

日期单位净值日增长率累计净值
2025-05-233.1730-1.06%3.1730
2025-05-223.2070+0.00%3.2070
2025-05-213.2070+1.84%3.2070
2025-05-203.1490+3.42%3.1490
2025-05-193.0450-0.13%3.0450
2025-05-163.0490+1.03%3.0490
2025-05-153.0180+0.47%3.0180
2025-05-143.0040-0.63%3.0040
2025-05-133.0230+1.44%3.0230
2025-05-122.9800-3.18%2.9800
2025-05-093.0780+0.59%3.0780
2025-05-083.0600-1.07%3.0600

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