基金详情 (001984)

历史净值

日期单位净值日增长率累计净值
2025-04-021.1670-0.21%1.1670
2025-04-011.1695+3.84%1.1695
2025-03-311.1262+0.09%1.1262
2025-03-281.1252+0.46%1.1252
2025-03-271.1201+5.12%1.1201
2025-03-261.0655+0.46%1.0655
2025-03-251.0606-0.12%1.0606
2025-03-241.0619-0.46%1.0619
2025-03-211.0668-2.22%1.0668
2025-03-201.0910+0.06%1.0910
2025-03-191.0904+0.45%1.0904
2025-03-181.0855+2.03%1.0855

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