基金详情 (001027)

历史净值

日期单位净值日增长率累计净值
2025-05-230.9372-0.63%0.9372
2025-05-220.9431-0.17%0.9431
2025-05-210.9447+0.22%0.9447
2025-05-200.9426+0.88%0.9426
2025-05-190.9344+0.42%0.9344
2025-05-160.9305-0.61%0.9305
2025-05-150.9362-0.13%0.9362
2025-05-140.9374+0.94%0.9374
2025-05-130.9287+0.11%0.9287
2025-05-120.9277-0.26%0.9277
2025-05-090.9301-0.01%0.9301
2025-05-080.9302-0.31%0.9302

自选基金

投资策略

持仓金额

¥ 0.00