基金详情 (011151)

历史净值

日期单位净值日增长率累计净值
2025-05-233.0920-1.06%3.0920
2025-05-223.1250+0.00%3.1250
2025-05-213.1250+1.82%3.1250
2025-05-203.0690+3.44%3.0690
2025-05-192.9670-0.13%2.9670
2025-05-162.9710+1.02%2.9710
2025-05-152.9410+0.48%2.9410
2025-05-142.9270-0.64%2.9270
2025-05-132.9460+1.45%2.9460
2025-05-122.9040-3.20%2.9040
2025-05-093.0000+0.57%3.0000
2025-05-082.9830-1.06%2.9830

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