基金详情 (007684)

历史净值

日期单位净值日增长率累计净值
2025-05-231.1655-0.39%1.1655
2025-05-221.1701+0.03%1.1701
2025-05-211.1698+0.30%1.1698
2025-05-201.1663+0.07%1.1663
2025-05-191.1655+0.40%1.1655
2025-05-161.1609-0.16%1.1609
2025-05-151.1628-0.35%1.1628
2025-05-141.1669+0.30%1.1669
2025-05-131.1634+0.41%1.1634
2025-05-121.1587+0.25%1.1587
2025-05-091.1558-0.02%1.1558
2025-05-081.1560+0.68%1.1560

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