基金详情 (023265)

历史净值

日期单位净值日增长率累计净值
2025-04-031.8988-1.34%1.8988
2025-04-021.9246+0.62%1.9246
2025-04-011.9127-0.07%1.9127
2025-03-311.9141-1.58%1.9141
2025-03-281.9448-1.47%1.9448
2025-03-271.9738+0.66%1.9738
2025-03-261.9608+0.99%1.9608
2025-03-251.9416-3.35%1.9416
2025-03-242.0089+0.93%2.0089
2025-03-211.9903-4.20%1.9903
2025-03-202.0776-1.27%2.0776
2025-03-192.1043-1.48%2.1043

自选基金

投资策略

持仓金额

¥ 0.00