基金详情 (001437)

历史净值

日期单位净值日增长率累计净值
2025-04-032.7962-5.37%2.7962
2025-04-022.9549+1.55%2.9549
2025-04-012.9098-0.24%2.9098
2025-03-312.9169+1.46%2.9169
2025-03-282.8750-0.77%2.8750
2025-03-272.8972-1.50%2.8972
2025-03-262.9413-1.06%2.9413
2025-03-252.9727-2.81%2.9727
2025-03-243.0585+0.94%3.0585
2025-03-213.0301-1.60%3.0301
2025-03-203.0795-0.81%3.0795
2025-03-193.1046-4.92%3.1046

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