基金详情 (519005)

历史净值

日期单位净值日增长率累计净值
2025-04-030.8598-2.76%2.8088
2025-04-020.8842+1.46%2.8332
2025-04-010.8715-1.65%2.8205
2025-03-310.8861-0.73%2.8351
2025-03-280.8926-0.94%2.8416
2025-03-270.9011-1.67%2.8501
2025-03-260.9164+1.11%2.8654
2025-03-250.9063-3.48%2.8553
2025-03-240.9390-0.80%2.8880
2025-03-210.9466-3.73%2.8956
2025-03-200.9833-1.91%2.9323
2025-03-191.0024-0.89%2.9514

自选基金

投资策略

持仓金额

¥ 0.00