1.0843
0.00%0.0000
单位净值 [2025-10-15]
- 最近一月:0.06%
- 最近一季:0.25%
- 最近半年:0.76%
- 今年以来:1.28%
- 最近一年:2.09%
- 最近两年:5.71%
- 最近三年:7.96%
- 成立以来:8.43%
- 成立日期:2022-08-03
- 基金经理:---
- 产品类型:券商集合理财
- 管理公司:国投证券
净值走势
- 1月
- 3月
- 6月
- 1年
- 3年
- 6年
- 今年以来
- 最大
净值明细
序号 |
净值日期 |
单位净值 |
累计净值 |
日增长率 |
1 |
2025-10-15 |
1.0843 |
1.0843 |
0.00% |
2 |
2025-10-14 |
1.0843 |
1.0843 |
0.01% |
3 |
2025-10-13 |
1.0842 |
1.0842 |
0.03% |
4 |
2025-10-10 |
1.0839 |
1.0839 |
0.01% |
5 |
2025-10-09 |
1.0838 |
1.0838 |
0.04% |
6 |
2025-09-30 |
1.0834 |
1.0834 |
0.03% |
7 |
2025-09-29 |
1.0831 |
1.0831 |
0.01% |
8 |
2025-09-26 |
1.0830 |
1.0830 |
0.01% |
9 |
2025-09-25 |
1.0829 |
1.0829 |
-0.03% |
10 |
2025-09-24 |
1.0832 |
1.0832 |
-0.04% |
11 |
2025-09-23 |
1.0836 |
1.0836 |
-0.01% |
12 |
2025-09-22 |
1.0837 |
1.0837 |
0.01% |
13 |
2025-09-19 |
1.0836 |
1.0836 |
-0.01% |
14 |
2025-09-18 |
1.0837 |
1.0837 |
0.00% |
15 |
2025-09-17 |
1.0837 |
1.0837 |
0.01% |
16 |
2025-09-16 |
1.0836 |
1.0836 |
0.00% |
17 |
2025-09-15 |
1.0836 |
1.0836 |
0.02% |
18 |
2025-09-12 |
1.0834 |
1.0834 |
0.00% |
19 |
2025-09-11 |
1.0834 |
1.0834 |
0.00% |
20 |
2025-09-10 |
1.0834 |
1.0834 |
0.00% |