基金详情 (010111)

历史净值

日期单位净值日增长率累计净值
2025-04-030.5248-0.51%0.5248
2025-04-020.5275+0.34%0.5275
2025-04-010.5257+4.91%0.5257
2025-03-310.5011-0.22%0.5011
2025-03-280.5022+0.80%0.5022
2025-03-270.4982+5.33%0.4982
2025-03-260.4730+0.40%0.4730
2025-03-250.4711-1.01%0.4711
2025-03-240.4759-0.79%0.4759
2025-03-210.4797-1.86%0.4797
2025-03-200.4888+0.04%0.4888
2025-03-190.4886+0.35%0.4886

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