基金详情 (014380)

历史净值

日期单位净值日增长率累计净值
2025-05-231.2686-2.46%1.2686
2025-05-221.3006-1.19%1.3006
2025-05-211.3162-1.75%1.3162
2025-05-201.3396+1.16%1.3396
2025-05-191.3242-0.57%1.3242
2025-05-161.3318-0.61%1.3318
2025-05-151.3400-4.53%1.3400
2025-05-141.4036+0.49%1.4036
2025-05-131.3968-0.13%1.3968
2025-05-121.3986+1.23%1.3986
2025-05-091.3816-2.83%1.3816
2025-05-081.4219-0.18%1.4219

自选基金

投资策略

持仓金额

¥ 0.00