1.0586
0.02%+0.0002
单位净值 [2025-07-07]
- 最近一月:0.18%
- 最近一季:0.57%
- 最近半年:0.82%
- 今年以来:0.96%
- 最近一年:2.38%
- 最近两年:---
- 最近三年:---
- 成立以来:5.86%
-
成立日期:2023-10-16
-
基金评级:
---
-
基金经理:
---
- 成立日期:2023-10-16
-
基金经理:
---
- 管理公司:国投证券资产
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2025-07-07 |
1.0586 |
1.0586 |
| 2025-07-04 |
1.0584 |
1.0584 |
| 2025-07-03 |
1.0583 |
1.0583 |
| 2025-07-02 |
1.0583 |
1.0583 |
| 2025-07-01 |
1.0583 |
1.0583 |
| 2025-06-30 |
1.0580 |
1.0580 |
| 2025-06-27 |
1.0580 |
1.0580 |
| 2025-06-26 |
1.0583 |
1.0583 |
| 2025-06-25 |
1.0583 |
1.0583 |
| 2025-06-24 |
1.0580 |
1.0580 |
| 2025-06-23 |
1.0581 |
1.0581 |
| 2025-06-20 |
1.0578 |
1.0578 |
| 2025-06-19 |
1.0577 |
1.0577 |
| 2025-06-18 |
1.0577 |
1.0577 |
| 2025-06-17 |
1.0577 |
1.0577 |
| 2025-06-16 |
1.0576 |
1.0576 |
| 2025-06-13 |
1.0574 |
1.0574 |
| 2025-06-12 |
1.0574 |
1.0574 |
| 2025-06-11 |
1.0573 |
1.0573 |
| 2025-06-10 |
1.0572 |
1.0572 |