基金详情 (241001)

历史净值

日期单位净值日增长率累计净值
2025-05-221.3290+0.53%1.3290
2025-05-211.3220+1.77%1.3220
2025-05-201.2990+3.51%1.2990
2025-05-191.2550+0.97%1.2550
2025-05-161.2430-0.40%1.2430
2025-05-151.2480+0.24%1.2480
2025-05-141.2450+2.30%1.2450
2025-05-131.2170+0.58%1.2170
2025-05-121.2100-1.14%1.2100
2025-05-091.2240+0.41%1.2240
2025-05-081.2190-1.38%1.2190
2025-05-071.2360-2.83%1.2360

自选基金

投资策略

持仓金额

¥ 0.00