基金详情 (005660)

历史净值

日期单位净值日增长率累计净值
2025-04-032.7634-2.27%2.7634
2025-04-022.8276-0.91%2.8276
2025-04-012.8536+0.93%2.8536
2025-03-312.8273-0.83%2.8273
2025-03-282.8511-0.42%2.8511
2025-03-272.8631-0.85%2.8631
2025-03-262.8875-0.74%2.8875
2025-03-252.9089+0.36%2.9089
2025-03-242.8984+1.67%2.8984
2025-03-212.8508-1.66%2.8508
2025-03-202.8989-0.22%2.8989
2025-03-192.9053+0.21%2.9053

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