基金详情 (007241)

实时净值

最新净值:

-

(2025-05-25)

估算净值:

-(-%)

(2025-05-25 21:17:26)

RSI指标:

70.87

(2025-05-21)

历史净值

日期单位净值日增长率累计净值
2025-05-211.2809+0.31%1.2809
2025-05-201.2770+0.55%1.2770
2025-05-191.2700+0.02%1.2700
2025-05-161.2698-0.11%1.2698
2025-05-151.2712-0.88%1.2712
2025-05-141.2825+0.68%1.2825
2025-05-131.2738-0.17%1.2738
2025-05-121.2760+1.02%1.2760
2025-05-091.2631-0.57%1.2631
2025-05-081.2703+0.21%1.2703
2025-05-071.2676+0.01%1.2676
2025-05-061.2675+1.06%1.2675

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.12%+0.17%-0.18%161/234
近一月+1.92%+2.99%+2.52%200/233
近三月-1.88%-2.94%-2.42%84/231一般
近六月-0.40%+1.24%+0.43%172/226
近一年+10.00%+5.06%+6.60%32/215优秀
近两年-5.17%-4.11%-0.79%93/155
近三年-10.57%-7.61%-4.24%56/88
近五年+7.61%+9.36%+1.52%7/15一般
今年来+2.97%+2.55%-1.34%95/230一般
成立以来+28.09%------

Rating

History Score

RSI 相对强弱指标

策略表现

策略名称总投资收益率总收益交易次数平均成本最终价值
ERSI60182.15+6.98%+4200.21361.2064382.36
Fixed Drop107063.68+6.95%+7445.791251.20114509.47
Dynamic Drop139080.91+6.77%+9417.581251.20148498.49
Periodic41379.33+5.87%+2427.79471.2143807.12
RSI53744.59+4.36%+2344.35671.2356088.94
MA5162324.65+2.78%+4511.381211.25166836.03

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
001466华富永鑫灵活配置混合A0.003190.50
001302前海开源金银珠宝混合A-0.026491.58
161810银华内需精选混合(LOF)-0.028185.68
009394银华同力精选混合-0.028986.47
320013诺安全球黄金-0.030987.73
161029富国中证银行指数(LOF)A-0.036787.71
004597南方中证银行ETF发起联接A-0.040087.57
012547南方中证银行ETF发起联接E-0.040486.99
160631鹏华银行A-0.040487.27
008298华夏中证银行ETF联接A-0.041387.55
160517博时中证银行指数(LOF)A-0.042687.80
001594天弘中证银行ETF联接A-0.042987.52
161723招商中证银行指数A-0.043386.33
007153汇添富中证银行ETF联接A-0.043487.15
021129东财银行E-0.043884.30