基金详情 (013072)

历史净值

日期单位净值日增长率累计净值
2025-04-030.9816-0.85%0.9816
2025-04-020.9900+0.70%0.9900
2025-04-010.9831+5.21%0.9831
2025-03-310.9344-1.29%0.9344
2025-03-280.9466+0.84%0.9466
2025-03-270.9387+3.85%0.9387
2025-03-260.9039-0.47%0.9039
2025-03-250.9082+0.59%0.9082
2025-03-240.9029-0.79%0.9029
2025-03-210.9101-2.39%0.9101
2025-03-200.9324-1.12%0.9324
2025-03-190.9430-0.01%0.9430

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