基金详情 (015528)

历史净值

日期单位净值日增长率累计净值
2025-04-030.8911-1.70%0.8911
2025-04-020.9065+0.76%0.9065
2025-04-010.8997-0.88%0.8997
2025-03-310.9077-1.57%0.9077
2025-03-280.9222-0.80%0.9222
2025-03-270.9296-0.02%0.9296
2025-03-260.9298+0.67%0.9298
2025-03-250.9236-3.10%0.9236
2025-03-240.9531+1.76%0.9531
2025-03-210.9366-4.14%0.9366
2025-03-200.9770-0.40%0.9770
2025-03-190.9809+0.10%0.9809

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