基金详情 (519692)

历史净值

日期单位净值日增长率累计净值
2025-05-234.3436-0.89%5.4526
2025-05-224.3827+0.24%5.4917
2025-05-214.3723+0.22%5.4813
2025-05-204.3629-0.03%5.4719
2025-05-194.3642+0.04%5.4732
2025-05-164.3624+0.01%5.4714
2025-05-154.3619-0.80%5.4709
2025-05-144.3971-0.48%5.5061
2025-05-134.4183-1.46%5.5273
2025-05-124.4837+3.37%5.5927
2025-05-094.3376-1.31%5.4466
2025-05-084.3952+1.78%5.5042

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