基金详情 (001717)

历史净值

日期单位净值日增长率累计净值
2025-05-233.0100-0.07%3.0100
2025-05-223.0120+0.67%3.0120
2025-05-212.9920+1.56%2.9920
2025-05-202.9460+3.04%2.9460
2025-05-192.8590+0.42%2.8590
2025-05-162.8470+0.92%2.8470
2025-05-152.8210+0.46%2.8210
2025-05-142.8080+0.00%2.8080
2025-05-132.8080+1.04%2.8080
2025-05-122.7790-2.42%2.7790
2025-05-092.8480+1.03%2.8480
2025-05-082.8190-0.39%2.8190

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