基金详情 (021224)

历史净值

日期单位净值日增长率累计净值
2025-04-031.6455-0.65%1.6455
2025-04-021.6563-0.30%1.6563
2025-04-011.6613-0.21%1.6613
2025-03-311.6648+0.51%1.6648
2025-03-281.6563-1.69%1.6563
2025-03-271.6847+1.38%1.6847
2025-03-261.6618+0.23%1.6618
2025-03-251.6580-2.04%1.6580
2025-03-241.6925+0.89%1.6925
2025-03-211.6776-2.58%1.6776
2025-03-201.7220-0.82%1.7220
2025-03-191.7363-1.46%1.7363

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