1.0997
0.22%+0.0024
单位净值 [2020-02-21]
- 最近一月:0.90%
- 最近一季:1.71%
- 最近半年:3.43%
- 今年以来:0.90%
- 最近一年:4.00%
- 最近两年:3.63%
- 最近三年:---
- 成立以来:9.97%
-
成立日期:2017-03-03
-
基金评级:
---
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2020-02-21 |
1.0997 |
1.2272 |
| 2020-02-07 |
1.0973 |
1.2248 |
| 2019-12-31 |
1.0899 |
1.2174 |
| 2019-12-27 |
1.0891 |
1.2166 |
| 2019-12-20 |
1.0879 |
1.2154 |
| 2019-12-13 |
1.0866 |
1.2141 |
| 2019-12-06 |
1.0853 |
1.2128 |
| 2019-11-29 |
1.0839 |
1.2114 |
| 2019-11-22 |
1.0825 |
1.2100 |
| 2019-11-15 |
1.0812 |
1.2087 |
| 2019-11-08 |
1.0797 |
1.2072 |
| 2019-11-01 |
1.0783 |
1.2058 |
| 2019-10-25 |
1.0768 |
1.2043 |
| 2019-10-18 |
1.0754 |
1.2029 |
| 2019-10-11 |
1.0740 |
1.2015 |
| 2019-09-30 |
1.0717 |
1.1992 |
| 2019-09-27 |
1.0711 |
1.1986 |
| 2019-09-20 |
1.0696 |
1.1971 |
| 2019-09-12 |
1.0680 |
1.1955 |
| 2019-09-06 |
1.0667 |
1.1942 |