基金详情 (008763)

历史净值

日期单位净值日增长率累计净值
2025-04-021.4771-0.11%1.4771
2025-04-011.4788+0.61%1.4788
2025-03-311.4698-0.54%1.4698
2025-03-281.4778-0.59%1.4778
2025-03-271.4866-0.18%1.4866
2025-03-261.4893-0.65%1.4893
2025-03-251.4991-0.15%1.4991
2025-03-241.5013+0.04%1.5013
2025-03-211.5007-0.19%1.5007
2025-03-201.5035+0.25%1.5035
2025-03-191.4998-1.08%1.4998
2025-03-181.5161-0.77%1.5161

自选基金

投资策略

持仓金额

¥ 0.00