基金详情 (017074)

历史净值

日期单位净值日增长率累计净值
2025-04-030.6922-2.49%0.6922
2025-04-020.7099+1.21%0.7099
2025-04-010.7014-0.67%0.7014
2025-03-310.7061-1.08%0.7061
2025-03-280.7138-1.16%0.7138
2025-03-270.7222-0.43%0.7222
2025-03-260.7253-0.73%0.7253
2025-03-250.7306-0.05%0.7306
2025-03-240.7310+0.10%0.7310
2025-03-210.7303-2.34%0.7303
2025-03-200.7478-0.69%0.7478
2025-03-190.7530-0.48%0.7530

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