基金详情 (001336)

历史净值

日期单位净值日增长率累计净值
2025-05-231.9021-0.52%1.9021
2025-05-221.9120+0.29%1.9120
2025-05-211.9065+0.85%1.9065
2025-05-201.8905+0.67%1.8905
2025-05-191.8779-0.04%1.8779
2025-05-161.8787-0.48%1.8787
2025-05-151.8878-0.13%1.8878
2025-05-141.8902+0.62%1.8902
2025-05-131.8786+0.51%1.8786
2025-05-121.8690+0.28%1.8690
2025-05-091.8637+0.60%1.8637
2025-05-081.8526+0.42%1.8526

自选基金

投资策略

持仓金额

¥ 0.00