基金详情 (019869)

历史净值

日期单位净值日增长率累计净值
2025-04-031.1609-1.03%1.1609
2025-04-021.1730+0.57%1.1730
2025-04-011.1663-0.86%1.1663
2025-03-311.1764+0.25%1.1764
2025-03-281.1735-0.42%1.1735
2025-03-271.1785-0.36%1.1785
2025-03-261.1827-0.12%1.1827
2025-03-251.1841-2.04%1.1841
2025-03-241.2088-0.82%1.2088
2025-03-211.2188-3.22%1.2188
2025-03-201.2594-1.30%1.2594
2025-03-191.2760-2.02%1.2760

自选基金

投资策略

持仓金额

¥ 0.00