基金详情 (001097)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1390-1.47%1.1390
2025-04-021.1560+0.17%1.1560
2025-04-011.1540+0.17%1.1540
2025-03-311.1520-0.35%1.1520
2025-03-281.1560-0.43%1.1560
2025-03-271.1610-0.09%1.1610
2025-03-261.1620-0.09%1.1620
2025-03-251.1630-0.60%1.1630
2025-03-241.1700+0.52%1.1700
2025-03-211.1640+0.52%1.1640
2025-03-201.1580+0.87%1.1580
2025-03-191.1480+0.00%1.1480

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