基金详情 (020661)

历史净值

日期单位净值日增长率累计净值
2025-04-030.9803-3.60%0.9803
2025-04-021.0169+1.06%1.0169
2025-04-011.0062-0.29%1.0062
2025-03-311.0091+1.40%1.0091
2025-03-280.9952-0.83%0.9952
2025-03-271.0035-0.75%1.0035
2025-03-261.0111+0.84%1.0111
2025-03-251.0027-3.13%1.0027
2025-03-241.0351+0.46%1.0351
2025-03-211.0304-2.84%1.0304
2025-03-201.0605-1.19%1.0605
2025-03-191.0733-3.85%1.0733

自选基金

投资策略

持仓金额

¥ 0.00