首页 - 基金理财 - 历史净值
国泰智能汽车股票型证券投资基金
日期 单位净值 累计净值
20231113 1.9780 1.9780
20231110 1.9820 1.9820
20231109 1.9890 1.9890
20231108 1.9890 1.9890
20231107 1.9950 1.9950
20231106 2.0040 2.0040
20231103 1.9450 1.9450
20231102 1.9010 1.9010
20231101 1.9250 1.9250
20231031 1.9250 1.9250
20231030 1.9650 1.9650
20231027 1.9350 1.9350
20231026 1.8930 1.8930
20231025 1.8820 1.8820
20231024 1.8700 1.8700
20231023 1.8540 1.8540
20231020 1.8930 1.8930
20231019 1.9090 1.9090
20231018 1.9400 1.9400
20231017 1.9480 1.9480