基金详情 (012802)

历史净值

日期单位净值日增长率累计净值
2025-05-230.7512+0.16%0.7512
2025-05-220.7500-0.44%0.7500
2025-05-210.7533+0.92%0.7533
2025-05-200.7464+1.28%0.7464
2025-05-190.7370-0.16%0.7370
2025-05-160.7382+0.00%0.7382
2025-05-150.7382+0.12%0.7382
2025-05-140.7373+0.42%0.7373
2025-05-130.7342+0.69%0.7342
2025-05-120.7292-0.30%0.7292
2025-05-090.7314+0.27%0.7314
2025-05-080.7294+0.04%0.7294

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