基金详情 (009141)

历史净值

日期单位净值日增长率累计净值
2025-05-230.7231-0.34%0.7231
2025-05-220.7256-0.06%0.7256
2025-05-210.7260+0.11%0.7260
2025-05-200.7252+0.19%0.7252
2025-05-190.7238-1.35%0.7238
2025-05-160.7337+0.52%0.7337
2025-05-150.7299-0.98%0.7299
2025-05-140.7371-0.03%0.7371
2025-05-130.7373-0.91%0.7373
2025-05-120.7441+2.09%0.7441
2025-05-090.7289-1.18%0.7289
2025-05-080.7376-0.20%0.7376

自选基金

投资策略

持仓金额

¥ 0.00