2.8752
-7.29%-0.2958
单位净值 [2026-07-10]
- 最近一月:-1.91%
- 最近一季:54.73%
- 最近半年:64.28%
- 今年以来:66.58%
- 最近一年:278.71%
- 最近两年:449.30%
- 最近三年:234.40%
- 成立以来:276.10%
-
成立日期:2020-04-29
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基金评级:
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基金经理:
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- 成立日期:2020-04-29
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基金经理:
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- 管理公司:杭州七禾聚资产
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2026-07-10 |
2.8752 |
3.1833 |
| 2026-07-03 |
3.1013 |
3.4094 |
| 2024-07-19 |
0.7246 |
1.0327 |
| 2024-07-18 |
0.7194 |
1.0275 |
| 2024-07-17 |
0.7200 |
1.0281 |
| 2024-07-16 |
0.7017 |
1.0098 |
| 2024-07-15 |
0.7141 |
1.0222 |
| 2024-07-12 |
0.7269 |
1.0350 |
| 2024-07-11 |
0.7079 |
1.0160 |
| 2024-07-10 |
0.6847 |
0.9928 |
| 2024-07-09 |
0.6879 |
0.9960 |
| 2024-07-08 |
0.6797 |
0.9878 |
| 2024-07-05 |
0.7013 |
1.0094 |
| 2024-07-04 |
0.7121 |
1.0202 |
| 2024-07-03 |
0.7167 |
1.0248 |
| 2024-07-02 |
0.6986 |
1.0067 |
| 2024-07-01 |
0.6851 |
0.9932 |
| 2024-06-28 |
0.6933 |
1.0014 |
| 2024-06-27 |
0.7054 |
1.0135 |
| 2024-06-26 |
0.7175 |
1.0256 |