基金详情 (003625)

历史净值

日期单位净值日增长率累计净值
2025-05-232.2946+0.07%2.2946
2025-05-222.2931-0.81%2.2931
2025-05-212.3118+2.76%2.3118
2025-05-202.2496+0.63%2.2496
2025-05-192.2355-0.42%2.2355
2025-05-162.2450+0.02%2.2450
2025-05-152.2446-1.26%2.2446
2025-05-142.2733+0.94%2.2733
2025-05-132.2521+0.86%2.2521
2025-05-122.2328+0.58%2.2328
2025-05-092.2200-0.27%2.2200
2025-05-082.2260-1.01%2.2260

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