基金详情 (007776)

历史净值

日期单位净值日增长率累计净值
2025-05-230.9399+0.45%0.9399
2025-05-220.9357-1.07%0.9357
2025-05-210.9458+2.09%0.9458
2025-05-200.9264+0.63%0.9264
2025-05-190.9206-1.11%0.9206
2025-05-160.9309+0.28%0.9309
2025-05-150.9283-1.59%0.9283
2025-05-140.9433+0.58%0.9433
2025-05-130.9379+0.14%0.9379
2025-05-120.9366+0.57%0.9366
2025-05-090.9313-0.98%0.9313
2025-05-080.9405-0.52%0.9405

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