基金详情 (240001)

历史净值

日期单位净值日增长率累计净值
2025-04-033.1579-0.21%9.2201
2025-04-023.1646+0.48%9.2368
2025-04-013.1495+0.36%9.1993
2025-03-313.1383-0.12%9.1714
2025-03-283.1421+0.10%9.1808
2025-03-273.1390+0.97%9.1731
2025-03-263.1088-0.25%9.0980
2025-03-253.1165-0.42%9.1172
2025-03-243.1296+0.59%9.1497
2025-03-213.1113-0.91%9.1042
2025-03-203.1398-1.10%9.1751
2025-03-193.1748-0.18%9.2622

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