基金详情 (023350)

历史净值

日期单位净值日增长率累计净值
2025-04-032.2480+0.13%2.2480
2025-04-022.2450+0.49%2.2450
2025-04-012.2340+2.10%2.2340
2025-03-312.1880-0.91%2.1880
2025-03-282.2080-1.74%2.2080
2025-03-272.2470-0.53%2.2470
2025-03-262.2590+2.22%2.2590
2025-03-252.2100+0.36%2.2100
2025-03-242.2020-3.72%2.2020
2025-03-212.2870-1.12%2.2870
2025-03-202.3130+0.57%2.3130
2025-03-192.3000-0.39%2.3000

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