基金详情 (008164)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1472+0.10%1.6602
2025-04-021.1460+0.31%1.6590
2025-04-011.1425+0.41%1.6555
2025-03-311.1378+0.11%1.6508
2025-03-281.1365-0.05%1.6495
2025-03-271.1371+0.34%1.6501
2025-03-261.1332-0.31%1.6462
2025-03-251.1367+0.67%1.6497
2025-03-241.1291+0.55%1.6421
2025-03-211.1229+0.01%1.6359
2025-03-201.1228-0.56%1.6358
2025-03-191.1291+0.37%1.6421

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