净值时间:
 
 
查询
净值日期 单位净值 累计净值 资产净值
2025-07-04 2.5052 2.7672
2025-07-03 2.5199 2.7819
2025-07-02 2.5030 2.7650
2025-07-01 2.4991 2.7611
2025-06-30 2.4972 2.7592
2025-06-27 2.4701 2.7321
2025-06-26 2.4670 2.7290
2025-06-25 2.4607 2.7227
2025-06-24 2.4500 2.7120
2025-06-23 2.4189 2.6809
2025-06-20 2.3926 2.6546
2025-06-19 2.4020 2.6640
2025-06-18 2.4403 2.7023
2025-06-17 2.4569 2.7189
2025-06-16 2.4591 2.7211
2025-06-13 2.4406 2.7026
2025-06-12 2.4706 2.7326
2025-06-11 2.4676 2.7296
2025-06-10 2.4512 2.7132
2025-06-09 2.4692 2.7312