基金详情 (000612)

历史净值

日期单位净值日增长率累计净值
2025-05-233.2100-1.35%3.4100
2025-05-223.2540-1.39%3.4540
2025-05-213.3000+0.00%3.5000
2025-05-203.3000+0.73%3.5000
2025-05-193.2760+0.71%3.4760
2025-05-163.2530-0.37%3.4530
2025-05-153.2650-1.27%3.4650
2025-05-143.3070-0.12%3.5070
2025-05-133.3110-0.42%3.5110
2025-05-123.3250+1.68%3.5250
2025-05-093.2700-1.06%3.4700
2025-05-083.3050+0.52%3.5050

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