基金详情 (010743)

历史净值

日期单位净值日增长率累计净值
2025-05-231.1367-0.09%1.1367
2025-05-221.1377-0.07%1.1377
2025-05-211.1385+0.11%1.1385
2025-05-201.1373+0.22%1.1373
2025-05-191.1348+0.10%1.1348
2025-05-161.1337-0.06%1.1337
2025-05-151.1344-0.15%1.1344
2025-05-141.1361+0.19%1.1361
2025-05-131.1340-0.03%1.1340
2025-05-121.1343+0.28%1.1343
2025-05-091.1311+0.04%1.1311
2025-05-081.1307+0.17%1.1307

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