基金详情 (020662)

历史净值

日期单位净值日增长率累计净值
2025-05-230.9866-1.31%0.9866
2025-05-220.9997-0.30%0.9997
2025-05-211.0027-0.33%1.0027
2025-05-201.0060+0.72%1.0060
2025-05-190.9988-0.95%0.9988
2025-05-161.0084+1.31%1.0084
2025-05-150.9954-2.03%0.9954
2025-05-141.0160+0.77%1.0160
2025-05-131.0082-1.06%1.0082
2025-05-121.0190+2.40%1.0190
2025-05-090.9951-1.88%0.9951
2025-05-081.0142+1.29%1.0142

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