基金详情 (270023)

历史净值

日期单位净值日增长率累计净值
2025-04-023.6969+0.44%4.1359
2025-04-013.6806+0.97%4.1196
2025-03-313.6453-0.21%4.0843
2025-03-283.6531-1.98%4.0921
2025-03-273.7268-0.53%4.1658
2025-03-263.7465-1.82%4.1855
2025-03-253.8158+0.03%4.2548
2025-03-243.8146+1.91%4.2536
2025-03-213.7431-0.01%4.1821
2025-03-203.7435-0.59%4.1825
2025-03-193.7658+1.03%4.2048
2025-03-183.7275-0.92%4.1665

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