基金详情 (016973)

历史净值

日期单位净值日增长率累计净值
2025-05-210.8677+0.25%0.8677
2025-05-200.8655+0.63%0.8655
2025-05-190.8601-0.17%0.8601
2025-05-160.8616-0.24%0.8616
2025-05-150.8637-1.09%0.8637
2025-05-140.8732+0.84%0.8732
2025-05-130.8659-0.37%0.8659
2025-05-120.8691+0.89%0.8691
2025-05-090.8614-0.47%0.8614
2025-05-080.8655+0.27%0.8655
2025-05-070.8632+0.28%0.8632
2025-05-060.8608+1.49%0.8608

自选基金

投资策略

持仓金额

¥ 0.00