基金详情 (001427)

历史净值

日期单位净值日增长率累计净值
2025-05-231.6860-0.71%1.6860
2025-05-221.6980-0.24%1.6980
2025-05-211.7020+0.35%1.7020
2025-05-201.6960+0.36%1.6960
2025-05-191.6900+0.72%1.6900
2025-05-161.6780+0.24%1.6780
2025-05-151.6740-1.24%1.6740
2025-05-141.6950+0.06%1.6950
2025-05-131.6940-1.63%1.6940
2025-05-121.7220+3.55%1.7220
2025-05-091.6630-1.60%1.6630
2025-05-081.6900+0.60%1.6900

自选基金

投资策略

持仓金额

¥ 0.00