基金详情 (007945)

历史净值

日期单位净值日增长率累计净值
2025-04-031.5240-1.87%1.5240
2025-04-021.5530-0.06%1.5530
2025-04-011.5540+0.52%1.5540
2025-03-311.5460-0.45%1.5460
2025-03-281.5530-0.51%1.5530
2025-03-271.5610+1.04%1.5610
2025-03-261.5450+0.06%1.5450
2025-03-251.5440-0.52%1.5440
2025-03-241.5520-0.06%1.5520
2025-03-211.5530-1.90%1.5530
2025-03-201.5830-1.12%1.5830
2025-03-191.6010-0.19%1.6010

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