基金详情 (007901)

历史净值

日期单位净值日增长率累计净值
2025-05-231.0849+0.01%1.1538
2025-05-221.0848+0.01%1.1537
2025-05-211.0847+0.01%1.1536
2025-05-201.0846+0.01%1.1535
2025-05-191.0845+0.04%1.1534
2025-05-161.0841-0.03%1.1530
2025-05-151.0844+0.00%1.1533
2025-05-141.0844+0.00%1.1533
2025-05-131.0844+0.04%1.1533
2025-05-121.0840-0.02%1.1529
2025-05-091.0842+0.04%1.1531
2025-05-081.0838+0.07%1.1527

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