基金详情 (000976)

历史净值

日期单位净值日增长率累计净值
2025-04-032.2627-3.49%2.2627
2025-04-022.3445+0.73%2.3445
2025-04-012.3275-1.95%2.3275
2025-03-312.3739-1.86%2.3739
2025-03-282.4189-0.89%2.4189
2025-03-272.4405-0.21%2.4405
2025-03-262.4457+1.42%2.4457
2025-03-252.4115-3.19%2.4115
2025-03-242.4909+0.27%2.4909
2025-03-212.4841-5.84%2.4841
2025-03-202.6383+1.14%2.6383
2025-03-192.6086+0.69%2.6086

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