基金详情 (011631)

历史净值

日期单位净值日增长率累计净值
2025-04-031.2425-1.44%1.2425
2025-04-021.2607-1.04%1.2607
2025-04-011.2739+0.25%1.2739
2025-03-311.2707-0.73%1.2707
2025-03-281.2800+0.03%1.2800
2025-03-271.2796-0.98%1.2796
2025-03-261.2923-0.70%1.2923
2025-03-251.3014+0.31%1.3014
2025-03-241.2974+1.58%1.2974
2025-03-211.2772-2.03%1.2772
2025-03-201.3036-0.28%1.3036
2025-03-191.3073+0.08%1.3073

自选基金

投资策略

持仓金额

¥ 0.00