基金详情 (001438)

历史净值

日期单位净值日增长率累计净值
2025-04-032.2667-5.37%2.2667
2025-04-022.3954+1.55%2.3954
2025-04-012.3588-0.25%2.3588
2025-03-312.3646+1.46%2.3646
2025-03-282.3306-0.77%2.3306
2025-03-272.3486-1.50%2.3486
2025-03-262.3844-1.06%2.3844
2025-03-252.4099-2.80%2.4099
2025-03-242.4794+0.93%2.4794
2025-03-212.4565-1.61%2.4565
2025-03-202.4966-0.81%2.4966
2025-03-192.5169-4.93%2.5169

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