基金详情 (011971)

历史净值

日期单位净值日增长率累计净值
2025-04-031.2483+0.26%1.2483
2025-04-021.2451+0.84%1.2451
2025-04-011.2347-0.52%1.2347
2025-03-311.2411+0.28%1.2411
2025-03-281.2376-0.31%1.2376
2025-03-271.2415+0.43%1.2415
2025-03-261.2362-1.36%1.2362
2025-03-251.2533+0.42%1.2533
2025-03-241.2481+0.83%1.2481
2025-03-211.2378-1.15%1.2378
2025-03-201.2522-0.48%1.2522
2025-03-191.2582+1.31%1.2582

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