基金详情 (003485)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1718-0.27%1.4168
2025-04-021.1750+0.15%1.4200
2025-04-011.1732+0.23%1.4182
2025-03-311.1705-0.23%1.4155
2025-03-281.1732-0.09%1.4182
2025-03-271.1742+0.21%1.4192
2025-03-261.1717+0.09%1.4167
2025-03-251.1707+0.13%1.4157
2025-03-241.1692+0.03%1.4142
2025-03-211.1688-0.49%1.4138
2025-03-201.1745+0.00%1.4195
2025-03-191.1745-0.20%1.4195

自选基金

投资策略

持仓金额

¥ 0.00