基金详情 (014223)

历史净值

日期单位净值日增长率累计净值
2025-05-210.9151+0.63%0.9151
2025-05-200.9094+0.84%0.9094
2025-05-190.9018+0.04%0.9018
2025-05-160.9014+0.16%0.9014
2025-05-150.9000-1.01%0.9000
2025-05-140.9092+0.07%0.9092
2025-05-130.9086+0.14%0.9086
2025-05-120.9073+0.37%0.9073
2025-05-090.9040-0.56%0.9040
2025-05-080.9091-0.02%0.9091
2025-05-070.9093-0.22%0.9093
2025-05-060.9113+1.44%0.9113

自选基金

投资策略

持仓金额

¥ 0.00