基金详情 (012264)

历史净值

日期单位净值日增长率累计净值
2025-05-230.6070-1.14%0.7290
2025-05-220.6140-0.32%0.7360
2025-05-210.6160+0.00%0.7380
2025-05-200.6160+0.82%0.7380
2025-05-190.6110-0.33%0.7330
2025-05-160.6130-0.33%0.7350
2025-05-150.6150-1.91%0.7370
2025-05-140.6270+0.80%0.7490
2025-05-130.6220-0.48%0.7440
2025-05-120.6250+1.63%0.7470
2025-05-090.6150-2.69%0.7370
2025-05-080.6320+0.64%0.7540

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