1.0022
0.30%+0.0030
单位净值 [2025-04-21]
- 最近一月:-1.18%
- 最近一季:-1.80%
- 最近半年:-5.32%
- 今年以来:-4.71%
- 最近一年:0.19%
- 最近两年:---
- 最近三年:---
- 成立以来:0.22%
-
成立日期:2024-03-26
-
基金评级:
---
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2025-04-21 |
1.0022 |
1.0022 |
| 2025-04-18 |
0.9992 |
0.9992 |
| 2025-04-17 |
0.9972 |
0.9972 |
| 2025-04-16 |
0.9991 |
0.9991 |
| 2025-04-15 |
1.0008 |
1.0008 |
| 2025-04-14 |
0.9983 |
0.9983 |
| 2025-04-11 |
0.9973 |
0.9973 |
| 2025-04-10 |
0.9972 |
0.9972 |
| 2025-04-09 |
0.9952 |
0.9952 |
| 2025-04-08 |
0.9870 |
0.9870 |
| 2025-04-07 |
0.9670 |
0.9670 |
| 2025-04-03 |
1.0070 |
1.0070 |
| 2025-04-02 |
1.0094 |
1.0094 |
| 2025-04-01 |
1.0089 |
1.0089 |
| 2025-03-31 |
1.0111 |
1.0111 |
| 2025-03-28 |
1.0174 |
1.0174 |
| 2025-03-27 |
1.0165 |
1.0165 |
| 2025-03-26 |
1.0179 |
1.0179 |
| 2025-03-25 |
1.0216 |
1.0216 |
| 2025-03-24 |
1.0203 |
1.0203 |