基金详情 (017967)

历史净值

日期单位净值日增长率累计净值
2025-04-030.7192-2.24%0.7192
2025-04-020.7357+0.96%0.7357
2025-04-010.7287-0.34%0.7287
2025-03-310.7312-1.18%0.7312
2025-03-280.7399-0.99%0.7399
2025-03-270.7473-0.47%0.7473
2025-03-260.7508+1.10%0.7508
2025-03-250.7426-2.21%0.7426
2025-03-240.7594+0.62%0.7594
2025-03-210.7547-2.52%0.7547
2025-03-200.7742-0.21%0.7742
2025-03-190.7758-0.15%0.7758

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