基金详情 (007770)

历史净值

日期单位净值日增长率累计净值
2025-04-030.8954-0.78%0.8954
2025-04-020.9024+0.51%0.9024
2025-04-010.8978+0.44%0.8978
2025-03-310.8939-2.65%0.8939
2025-03-280.9182-1.81%0.9182
2025-03-270.9351-0.63%0.9351
2025-03-260.9410-0.15%0.9410
2025-03-250.9424+1.73%0.9424
2025-03-240.9264+0.92%0.9264
2025-03-210.9180-4.05%0.9180
2025-03-200.9567-2.61%0.9567
2025-03-190.9823-2.76%0.9823

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-4.25%-1.99%-1.80%4237/4616
近一月-4.30%-0.60%-0.69%3868/4644
近三月+22.83%+7.35%+2.29%179/4592优秀
近六月+35.96%+2.40%-3.89%58/4497优秀
近一年+42.29%+9.99%+8.23%122/4248优秀
近两年-27.00%-10.42%-5.60%3225/3625
近三年-37.11%-12.50%-9.70%2701/2890
近五年-8.77%+23.76%+3.99%825/970
今年来+20.01%+3.77%-1.87%140/4592优秀
成立以来-10.46%------

Rating

自选基金

投资策略

持仓金额

¥ 0.00