基金详情 (007896)

历史净值

日期单位净值日增长率累计净值
2025-04-011.1279+0.73%1.1279
2025-03-311.1197-1.15%1.1197
2025-03-281.1327-0.26%1.1327
2025-03-271.1357-0.29%1.1357
2025-03-261.1390+0.18%1.1390
2025-03-251.1369-0.49%1.1369
2025-03-241.1425+0.56%1.1425
2025-03-211.1361-0.77%1.1361
2025-03-201.1449-0.17%1.1449
2025-03-191.1468+0.13%1.1468
2025-03-181.1453+0.94%1.1453
2025-03-171.1346+0.23%1.1346

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