净值时间:
 
 
查询
净值日期 单位净值 累计净值 资产净值
2025-07-03 14.695 15.145
2025-07-02 14.554 15.004
2025-07-01 14.657 15.107
2025-06-30 14.691 15.141
2025-06-27 14.523 14.973
2025-06-26 14.444 14.894
2025-06-25 14.489 14.939
2025-06-24 14.245 14.695
2025-06-23 14.084 14.534
2025-06-20 14.050 14.500
2025-06-19 14.103 14.553
2025-06-18 14.208 14.658
2025-06-17 14.153 14.603
2025-06-16 14.165 14.615
2025-06-13 14.141 14.591
2025-06-12 14.237 14.687
2025-06-11 14.253 14.703
2025-06-10 14.186 14.636
2025-06-09 14.304 14.754
2025-06-06 14.274 14.724