基金详情 (011611)

历史净值

日期单位净值日增长率累计净值
2025-05-230.7747-0.96%0.7747
2025-05-220.7822-0.46%0.7822
2025-05-210.7858-0.22%0.7858
2025-05-200.7875+0.23%0.7875
2025-05-190.7857+0.01%0.7857
2025-05-160.7856-0.53%0.7856
2025-05-150.7898-1.20%0.7898
2025-05-140.7994+0.38%0.7994
2025-05-130.7964-0.14%0.7964
2025-05-120.7975+0.44%0.7975
2025-05-090.7940-1.83%0.7940
2025-05-080.8088-0.34%0.8088

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