基金详情 (014938)

历史净值

日期单位净值日增长率累计净值
2025-04-031.6176-1.42%1.6176
2025-04-021.6409+0.00%1.6409
2025-04-011.6409-0.22%1.6409
2025-03-311.6446+68.73%1.6446
2025-03-280.9747+0.17%0.9747
2025-03-270.9730+0.06%0.9730
2025-03-260.9724+0.58%0.9724
2025-03-250.9668-1.25%0.9668
2025-03-240.9790-0.29%0.9790
2025-03-210.9818-2.47%0.9818
2025-03-201.0067-1.49%1.0067
2025-03-191.0219-0.53%1.0219

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