1.0701
0.01%+0.0001
单位净值 [2026-07-17]
- 最近一月:0.11%
- 最近一季:0.57%
- 最近半年:1.19%
- 今年以来:1.28%
- 最近一年:1.98%
- 最近两年:4.34%
- 最近三年:---
- 成立以来:7.01%
-
成立日期:2023-11-03
-
基金评级:
---
-
基金经理:
---
- 成立日期:2023-11-03
-
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 |
| 2026-07-17 |
1.0701 |
1.0701 |
| 2026-07-16 |
1.0700 |
1.0700 |
| 2026-07-15 |
1.0699 |
1.0699 |
| 2026-07-14 |
1.0699 |
1.0699 |
| 2026-07-13 |
1.0698 |
1.0698 |
| 2026-07-10 |
1.0697 |
1.0697 |
| 2026-07-09 |
1.0697 |
1.0697 |
| 2026-06-30 |
1.0696 |
1.0696 |
| 2026-06-29 |
1.0695 |
1.0695 |
| 2026-06-26 |
1.0694 |
1.0694 |
| 2026-06-25 |
1.0693 |
1.0693 |
| 2026-06-24 |
1.0691 |
1.0691 |
| 2026-06-23 |
1.0691 |
1.0691 |
| 2026-06-22 |
1.0691 |
1.0691 |
| 2026-06-18 |
1.0690 |
1.0690 |
| 2026-06-17 |
1.0689 |
1.0689 |
| 2026-06-16 |
1.0687 |
1.0687 |
| 2026-06-15 |
1.0686 |
1.0686 |
| 2026-06-12 |
1.0685 |
1.0685 |
| 2026-06-11 |
1.0687 |
1.0687 |