1.0000
0.01%+0.0001
单位净值 [2025-12-22]
- 最近一月:0.01%
- 最近一季:0.32%
- 最近半年:0.70%
- 今年以来:1.43%
- 最近一年:1.52%
- 最近两年:4.01%
- 最近三年:6.99%
- 成立以来:13.46%
-
成立日期:2020-04-28
-
基金评级:
---
-
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2025-12-22 |
1.0000 |
1.1346 |
| 2025-12-19 |
1.1345 |
1.1345 |
| 2025-12-18 |
1.1344 |
1.1344 |
| 2025-12-17 |
1.1344 |
1.1344 |
| 2025-12-16 |
1.1343 |
1.1343 |
| 2025-12-15 |
1.1344 |
1.1344 |
| 2025-12-12 |
1.1344 |
1.1344 |
| 2025-12-11 |
1.1343 |
1.1343 |
| 2025-12-10 |
1.1344 |
1.1344 |
| 2025-12-09 |
1.1344 |
1.1344 |
| 2025-12-08 |
1.1342 |
1.1342 |
| 2025-12-05 |
1.1340 |
1.1340 |
| 2025-12-04 |
1.1341 |
1.1341 |
| 2025-12-03 |
1.1342 |
1.1342 |
| 2025-12-02 |
1.1342 |
1.1342 |
| 2025-12-01 |
1.1344 |
1.1344 |
| 2025-11-28 |
1.1343 |
1.1343 |
| 2025-11-27 |
1.1343 |
1.1343 |
| 2025-11-26 |
1.1344 |
1.1344 |
| 2025-11-25 |
1.1346 |
1.1346 |