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 2.3041 2.3041
2025-06-30 2.2756 2.2756
2025-06-27 2.2528 2.2528
2025-06-26 2.2570 2.2570
2025-06-25 2.2848 2.2848
2025-06-24 2.2644 2.2644
2025-06-23 2.2423 2.2423
2025-06-20 2.2321 2.2321
2025-06-19 2.2271 2.2271
2025-06-18 2.2471 2.2471
2025-06-17 2.2587 2.2587
2025-06-16 2.3033 2.3033
2025-06-13 2.3164 2.3164
2025-06-12 2.3587 2.3587
2025-06-11 2.3175 2.3175
2025-06-10 2.3231 2.3231
2025-06-09 2.3166 2.3166
2025-06-06 2.2861 2.2861
2025-06-05 2.2966 2.2966
2025-06-04 2.3151 2.3151