基金详情 (020723)

历史净值

日期单位净值日增长率累计净值
2025-04-031.3723-1.69%1.3723
2025-04-021.3959+0.53%1.3959
2025-04-011.3885+0.46%1.3885
2025-03-311.3822+0.12%1.3822
2025-03-281.3805-0.78%1.3805
2025-03-271.3913-0.35%1.3913
2025-03-261.3962+0.74%1.3962
2025-03-251.3859-0.35%1.3859
2025-03-241.3908-1.49%1.3908
2025-03-211.4118-2.45%1.4118
2025-03-201.4473-2.41%1.4473
2025-03-191.4830-2.00%1.4830

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