基金详情 (001247)

历史净值

日期单位净值日增长率累计净值
2025-04-031.6004+0.14%1.8237
2025-04-021.5981-0.02%1.8214
2025-04-011.5984+0.14%1.8217
2025-03-311.5961-0.09%1.8194
2025-03-281.5975-0.11%1.8208
2025-03-271.5992+0.01%1.8225
2025-03-261.5990-0.02%1.8223
2025-03-251.5993+0.09%1.8226
2025-03-241.5978+0.01%1.8211
2025-03-211.5976-0.13%1.8209
2025-03-201.5996+0.04%1.8229
2025-03-191.5990+0.01%1.8223

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