基金详情 (015571)

历史净值

日期单位净值日增长率累计净值
2025-04-030.7963-1.04%0.7963
2025-04-020.8047+0.40%0.8047
2025-04-010.8015+5.91%0.8015
2025-03-310.7568-0.67%0.7568
2025-03-280.7619+1.42%0.7619
2025-03-270.7512+5.22%0.7512
2025-03-260.7139+0.78%0.7139
2025-03-250.7084+0.24%0.7084
2025-03-240.7067-1.23%0.7067
2025-03-210.7155-3.39%0.7155
2025-03-200.7406+0.89%0.7406
2025-03-190.7341+1.44%0.7341

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