基金详情 (009360)

历史净值

日期单位净值日增长率累计净值
2025-05-230.6656+0.79%0.6656
2025-05-220.6604-1.54%0.6604
2025-05-210.6707-0.10%0.6707
2025-05-200.6714+1.76%0.6714
2025-05-190.6598+0.29%0.6598
2025-05-160.6579+0.61%0.6579
2025-05-150.6539-0.58%0.6539
2025-05-140.6577+0.03%0.6577
2025-05-130.6575+1.36%0.6575
2025-05-120.6487-1.04%0.6487
2025-05-090.6555-0.79%0.6555
2025-05-080.6607+0.81%0.6607

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