基金详情 (015052)

历史净值

日期单位净值日增长率累计净值
2025-04-031.2070-0.49%1.2070
2025-04-021.2130-0.48%1.2130
2025-04-011.2189+5.38%1.2189
2025-03-311.1567-0.67%1.1567
2025-03-281.1645+2.26%1.1645
2025-03-271.1388+6.68%1.1388
2025-03-261.0675-0.25%1.0675
2025-03-251.0702+0.46%1.0702
2025-03-241.0653-0.75%1.0653
2025-03-211.0734-2.43%1.0734
2025-03-201.1001-0.47%1.1001
2025-03-191.1053+0.54%1.1053

自选基金

投资策略

持仓金额

¥ 0.00