基金详情 (008425)

历史净值

日期单位净值日增长率累计净值
2025-04-030.7051-0.33%0.7051
2025-04-020.7074+0.40%0.7074
2025-04-010.7046+1.44%0.7046
2025-03-310.6946+0.48%0.6946
2025-03-280.6913+0.60%0.6913
2025-03-270.6872+1.18%0.6872
2025-03-260.6792-0.07%0.6792
2025-03-250.6797-1.69%0.6797
2025-03-240.6914+1.39%0.6914
2025-03-210.6819-1.23%0.6819
2025-03-200.6904-0.49%0.6904
2025-03-190.6938+0.12%0.6938

自选基金

投资策略

持仓金额

¥ 0.00