基金详情 (100039)

历史净值

日期单位净值日增长率累计净值
2025-04-033.7060-0.78%3.7560
2025-04-023.7350+0.13%3.7850
2025-04-013.7300-0.37%3.7800
2025-03-313.7440+0.75%3.7940
2025-03-283.7160-0.32%3.7660
2025-03-273.7280+0.27%3.7780
2025-03-263.7180+0.16%3.7680
2025-03-253.7120-0.46%3.7620
2025-03-243.7290-0.51%3.7790
2025-03-213.7480-2.27%3.7980
2025-03-203.8350-1.19%3.8850
2025-03-193.8810-1.27%3.9310

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