基金详情 (017437)

历史净值

日期单位净值日增长率累计净值
2025-04-021.6056+1.10%1.6056
2025-04-011.5882+1.24%1.5882
2025-03-311.5688-0.25%1.5688
2025-03-281.5728-2.94%1.5728
2025-03-271.6204-1.21%1.6204
2025-03-261.6402-3.57%1.6402
2025-03-251.7010+0.66%1.7010
2025-03-241.6899+2.63%1.6899
2025-03-211.6466+1.18%1.6466
2025-03-201.6274-0.56%1.6274
2025-03-191.6366+1.97%1.6366
2025-03-181.6050-2.58%1.6050

自选基金

投资策略

持仓金额

¥ 0.00