基金详情 (001382)

历史净值

日期单位净值日增长率累计净值
2025-05-232.1030-0.43%2.1030
2025-05-222.1120-0.33%2.1120
2025-05-212.1190+0.14%2.1190
2025-05-202.1160+0.38%2.1160
2025-05-192.1080-1.26%2.1080
2025-05-162.1350-1.07%2.1350
2025-05-152.1580-1.10%2.1580
2025-05-142.1820+1.91%2.1820
2025-05-132.1410-0.05%2.1410
2025-05-122.1420+0.47%2.1420
2025-05-092.1320-0.19%2.1320
2025-05-082.1360+0.19%2.1360

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