基金详情 (540006)

历史净值

日期单位净值日增长率累计净值
2025-05-234.1287-0.38%4.1887
2025-05-224.1445-0.69%4.2045
2025-05-214.1733+0.59%4.2333
2025-05-204.1489+0.64%4.2089
2025-05-194.1225-0.21%4.1825
2025-05-164.1311-0.22%4.1911
2025-05-154.1403-1.13%4.2003
2025-05-144.1877+0.72%4.2477
2025-05-134.1577+0.34%4.2177
2025-05-124.1437+1.56%4.2037
2025-05-094.0801-0.25%4.1401
2025-05-084.0903-0.08%4.1503

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