基金详情 (014109)

历史净值

日期单位净值日增长率累计净值
2025-05-232.6100-0.80%2.6100
2025-05-222.6310-0.42%2.6310
2025-05-212.6420+0.27%2.6420
2025-05-202.6350+0.88%2.6350
2025-05-192.6120+0.19%2.6120
2025-05-162.6070+0.31%2.6070
2025-05-152.5990+0.00%2.5990
2025-05-142.5990+0.35%2.5990
2025-05-132.5900+0.62%2.5900
2025-05-122.5740+0.31%2.5740
2025-05-092.5660+0.59%2.5660
2025-05-082.5510-0.08%2.5510

自选基金

投资策略

持仓金额

¥ 0.00