基金详情 (005708)

历史净值

日期单位净值日增长率累计净值
2025-05-232.3932-0.40%2.3932
2025-05-222.4027+0.08%2.4027
2025-05-212.4008+0.41%2.4008
2025-05-202.3910+0.47%2.3910
2025-05-192.3797-0.22%2.3797
2025-05-162.3850-0.35%2.3850
2025-05-152.3933-0.72%2.3933
2025-05-142.4106+0.78%2.4106
2025-05-132.3919+0.02%2.3919
2025-05-122.3914+1.23%2.3914
2025-05-092.3624+0.17%2.3624
2025-05-082.3585+0.04%2.3585

RSI 相对强弱指标

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持仓金额

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