净值时间:
 
 
查询
净值日期 单位净值 累计净值 资产净值
2025-07-01 3.4490 3.5690
2025-06-30 3.4357 3.5557
2025-06-27 3.4064 3.5264
2025-06-26 3.3962 3.5162
2025-06-25 3.4188 3.5388
2025-06-24 3.3779 3.4979
2025-06-23 3.3321 3.4521
2025-06-20 3.3177 3.4377
2025-06-19 3.3310 3.4510
2025-06-18 3.3603 3.4803
2025-06-17 3.3386 3.4586
2025-06-16 3.3417 3.4617
2025-06-13 3.3284 3.4484
2025-06-12 3.3622 3.4822
2025-06-11 3.3671 3.4871
2025-06-10 3.3372 3.4572
2025-06-09 3.3585 3.4785
2025-06-06 3.3474 3.4674
2025-06-05 3.3560 3.4760
2025-06-04 3.3423 3.4623