基金详情 (012870)

历史净值

日期单位净值日增长率累计净值
2025-04-023.1578+0.72%3.1578
2025-04-013.1351+0.77%3.1351
2025-03-313.1112+0.01%3.1112
2025-03-283.1108-2.49%3.1108
2025-03-273.1902-0.56%3.1902
2025-03-263.2082-1.77%3.2082
2025-03-253.2659+0.51%3.2659
2025-03-243.2494+2.04%3.2494
2025-03-213.1844+0.39%3.1844
2025-03-203.1721-0.20%3.1721
2025-03-193.1786+1.17%3.1786
2025-03-183.1417-1.51%3.1417

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