基金详情 (017823)

历史净值

日期单位净值日增长率累计净值
2025-04-011.0375+0.37%1.0375
2025-03-311.0337-0.35%1.0337
2025-03-281.0373+0.10%1.0373
2025-03-271.0363-0.02%1.0363
2025-03-261.0365-0.13%1.0365
2025-03-251.0378-0.15%1.0378
2025-03-241.0394+0.40%1.0394
2025-03-211.0353-0.73%1.0353
2025-03-201.0429-0.44%1.0429
2025-03-191.0475+0.25%1.0475
2025-03-181.0449+0.74%1.0449
2025-03-171.0372+0.05%1.0372

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