基金详情 (009360)

历史净值

日期单位净值日增长率累计净值
2025-04-030.6749-1.83%0.6749
2025-04-020.6875-0.87%0.6875
2025-04-010.6935+2.85%0.6935
2025-03-310.6743-0.88%0.6743
2025-03-280.6803-0.23%0.6803
2025-03-270.6819+3.95%0.6819
2025-03-260.6560+0.44%0.6560
2025-03-250.6531-0.61%0.6531
2025-03-240.6571-0.95%0.6571
2025-03-210.6634-2.90%0.6634
2025-03-200.6832-0.97%0.6832
2025-03-190.6899+0.45%0.6899

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