基金详情 (000878)

历史净值

日期单位净值日增长率累计净值
2025-05-231.1760-1.01%2.2290
2025-05-221.1880-0.25%2.2410
2025-05-211.1910+0.59%2.2440
2025-05-201.1840+3.95%2.2370
2025-05-191.1390+0.62%2.1920
2025-05-161.1320+0.80%2.1850
2025-05-151.1230+0.09%2.1760
2025-05-141.1220-0.62%2.1750
2025-05-131.1290+2.08%2.1820
2025-05-121.1060-2.30%2.1590
2025-05-091.1320+1.43%2.1850
2025-05-081.1160-0.53%2.1690

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