基金详情 (005212)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1806+1.40%1.3176
2025-04-021.1643+0.73%1.3013
2025-04-011.1559+0.09%1.2929
2025-03-311.1549+0.10%1.2919
2025-03-281.1538-0.32%1.2908
2025-03-271.1575-0.22%1.2945
2025-03-261.1600+0.58%1.2970
2025-03-251.1533+0.42%1.2903
2025-03-241.1485+0.33%1.2855
2025-03-211.1447-0.22%1.2817
2025-03-201.1472+1.07%1.2842
2025-03-191.1351+0.32%1.2721

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