基金详情 (018956)

历史净值

日期单位净值日增长率累计净值
2025-05-231.1699-1.51%1.1699
2025-05-221.1878-0.69%1.1878
2025-05-211.1961-0.34%1.1961
2025-05-201.2002+0.40%1.2002
2025-05-191.1954-1.67%1.1954
2025-05-161.2157+1.39%1.2157
2025-05-151.1990-3.07%1.1990
2025-05-141.2370+2.04%1.2370
2025-05-131.2123-0.76%1.2123
2025-05-121.2216+1.95%1.2216
2025-05-091.1982-2.16%1.1982
2025-05-081.2247+3.96%1.2247

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