基金详情 (016532)

历史净值

日期单位净值日增长率累计净值
2025-05-221.6811+0.09%1.6811
2025-05-211.6796-1.27%1.6796
2025-05-201.7012-0.33%1.7012
2025-05-191.7069+0.06%1.7069
2025-05-161.7059+0.38%1.7059
2025-05-151.6994+0.10%1.6994
2025-05-141.6977+0.50%1.6977
2025-05-131.6893+1.39%1.6893
2025-05-121.6662+3.77%1.6662
2025-05-091.6056+0.02%1.6056
2025-05-081.6052+1.02%1.6052
2025-05-071.5890+0.37%1.5890

自选基金

投资策略

持仓金额

¥ 0.00