基金详情 (001832)

历史净值

日期单位净值日增长率累计净值
2025-05-232.2757-0.43%2.2757
2025-05-222.2855-0.03%2.2855
2025-05-212.2863+0.28%2.2863
2025-05-202.2799+0.35%2.2799
2025-05-192.2719-0.50%2.2719
2025-05-162.2834-0.36%2.2834
2025-05-152.2916-1.08%2.2916
2025-05-142.3167+0.97%2.3167
2025-05-132.2944+0.35%2.2944
2025-05-122.2865+0.88%2.2865
2025-05-092.2666-0.18%2.2666
2025-05-082.2707+0.20%2.2707

自选基金

投资策略

持仓金额

¥ 0.00