基金详情 (011068)

历史净值

日期单位净值日增长率累计净值
2025-05-233.2740-0.09%3.2740
2025-05-223.2770-0.67%3.2770
2025-05-213.2990+2.26%3.2990
2025-05-203.2260+0.56%3.2260
2025-05-193.2080-0.47%3.2080
2025-05-163.2230-0.25%3.2230
2025-05-153.2310-0.62%3.2310
2025-05-143.2510+0.84%3.2510
2025-05-133.2240+0.44%3.2240
2025-05-123.2100+0.31%3.2100
2025-05-093.2000+0.03%3.2000
2025-05-083.1990-0.90%3.1990

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