基金详情 (017787)

历史净值

日期单位净值日增长率累计净值
2025-05-232.0769-0.44%2.0769
2025-05-222.0861-0.59%2.0861
2025-05-212.0985+2.93%2.0985
2025-05-202.0388-0.17%2.0388
2025-05-192.0423-0.06%2.0423
2025-05-162.0436-0.57%2.0436
2025-05-152.0553-0.14%2.0553
2025-05-142.0581+1.48%2.0581
2025-05-132.0281+0.60%2.0281
2025-05-122.0160+0.44%2.0160
2025-05-092.0071-0.16%2.0071
2025-05-082.0104-0.46%2.0104

自选基金

投资策略

持仓金额

¥ 0.00