基金详情 (012720)

历史净值

日期单位净值日增长率累计净值
2025-04-030.8954-1.66%0.8954
2025-04-020.9105+0.00%0.9105
2025-04-010.9105+0.62%0.9105
2025-03-310.9049-0.78%0.9049
2025-03-280.9120-0.33%0.9120
2025-03-270.9150+0.23%0.9150
2025-03-260.9129+0.18%0.9129
2025-03-250.9113-1.83%0.9113
2025-03-240.9283+0.08%0.9283
2025-03-210.9276-1.52%0.9276
2025-03-200.9419-1.37%0.9419
2025-03-190.9550-0.63%0.9550

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