基金详情 (015394)

历史净值

日期单位净值日增长率累计净值
2025-05-232.2985-1.89%2.2985
2025-05-222.3427-0.08%2.3427
2025-05-212.3446-0.53%2.3446
2025-05-202.3572+0.38%2.3572
2025-05-192.3483-0.26%2.3483
2025-05-162.3544-0.14%2.3544
2025-05-152.3578-2.95%2.3578
2025-05-142.4294-0.06%2.4294
2025-05-132.4309-0.44%2.4309
2025-05-122.4417+1.03%2.4417
2025-05-092.4169-2.07%2.4169
2025-05-082.4681-0.21%2.4681

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