基金详情 (008764)

历史净值

日期单位净值日增长率累计净值
2025-05-221.3676-1.06%1.3676
2025-05-211.3822+0.35%1.3822
2025-05-201.3774+0.70%1.3774
2025-05-191.3678-0.72%1.3678
2025-05-161.3777-1.52%1.3777
2025-05-151.3989+0.44%1.3989
2025-05-141.3928+1.83%1.3928
2025-05-131.3678+1.60%1.3678
2025-05-121.3462+0.75%1.3462
2025-05-091.3362-0.12%1.3362
2025-05-081.3378+1.19%1.3378
2025-05-071.3221-0.02%1.3221

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