基金详情 (023754)

历史净值

日期单位净值日增长率累计净值
2025-05-230.9132-1.84%0.9132
2025-05-220.9303-0.16%0.9303
2025-05-210.9318-1.19%0.9318
2025-05-200.9430+0.35%0.9430
2025-05-190.9397-0.14%0.9397
2025-05-160.9410-0.69%0.9410
2025-05-150.9475-3.28%0.9475
2025-05-140.9796-0.05%0.9796
2025-05-130.9801-0.38%0.9801
2025-05-120.9838+1.93%0.9838
2025-05-090.9652-2.90%0.9652
2025-05-080.9940-0.28%0.9940

自选基金

投资策略

持仓金额

¥ 0.00