基金详情 (001630)

历史净值

日期单位净值日增长率累计净值
2025-04-030.7436-0.69%0.7436
2025-04-020.7488+0.46%0.7488
2025-04-010.7454-0.92%0.7454
2025-03-310.7523-0.46%0.7523
2025-03-280.7558-0.43%0.7558
2025-03-270.7591+0.13%0.7591
2025-03-260.7581-0.14%0.7581
2025-03-250.7592-1.86%0.7592
2025-03-240.7736-0.62%0.7736
2025-03-210.7784-3.08%0.7784
2025-03-200.8031-1.69%0.8031
2025-03-190.8169-1.60%0.8169

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