基金详情 (007777)

历史净值

日期单位净值日增长率累计净值
2025-05-231.0936-0.90%1.6818
2025-05-221.1035-0.42%1.6917
2025-05-211.1081+0.39%1.6963
2025-05-201.1038+0.77%1.6920
2025-05-191.0954+0.19%1.6836
2025-05-161.0933+0.33%1.6815
2025-05-151.0897-1.27%1.6779
2025-05-141.1037-0.13%1.6919
2025-05-131.1051-0.15%1.6933
2025-05-121.1068+1.38%1.6950
2025-05-091.0917-0.89%1.6799
2025-05-081.1015+0.42%1.6897

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.03%+0.06%-0.18%2244/4712一般
近一月+2.61%+1.76%+2.52%1715/4690一般
近三月-2.29%-3.72%-2.42%2034/4620一般
近六月+1.48%+4.79%+0.43%2945/4524
近一年+1.30%+8.18%+6.60%2850/4279
近两年-0.30%-4.71%-0.79%1223/3701一般
近三年+3.38%-9.37%-4.24%546/2948良好
近五年+42.57%+15.41%+1.52%183/1022良好
今年来-0.23%+3.72%-1.34%3084/4574
成立以来+72.07%------

自选基金

投资策略

持仓金额

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