基金详情 (015593)

历史净值

日期单位净值日增长率累计净值
2025-05-231.5924-2.97%1.5924
2025-05-221.6412-0.40%1.6412
2025-05-211.6478-1.47%1.6478
2025-05-201.6724+0.38%1.6724
2025-05-191.6660+0.29%1.6660
2025-05-161.6611+0.48%1.6611
2025-05-151.6532-1.81%1.6532
2025-05-141.6836-0.53%1.6836
2025-05-131.6925-0.37%1.6925
2025-05-121.6988+0.84%1.6988
2025-05-091.6847-2.08%1.6847
2025-05-081.7204-1.08%1.7204

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