基金详情 (008706)

历史净值

日期单位净值日增长率累计净值
2025-05-221.2672-0.43%1.2672
2025-05-211.2727+0.35%1.2727
2025-05-201.2682+1.19%1.2682
2025-05-191.2533+0.12%1.2533
2025-05-161.2518+0.81%1.2518
2025-05-151.2417+0.80%1.2417
2025-05-141.2319+0.25%1.2319
2025-05-131.2288-0.94%1.2288
2025-05-121.2404+0.71%1.2404
2025-05-091.2317+0.02%1.2317
2025-05-081.2315-0.47%1.2315
2025-05-071.2373-0.15%1.2373

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+2.05%-0.24%-0.18%32/345优秀
近一月+4.15%+8.07%+2.52%292/344
近三月+6.86%-2.31%-2.42%34/337优秀
近六月+11.91%+8.37%+0.43%135/326一般
近一年+11.65%+15.50%+6.60%156/306
近两年+25.39%+28.51%-0.79%141/218
近三年+37.89%+38.68%-4.24%58/157一般
近五年+74.07%+46.64%+1.52%36/86一般
今年来+13.37%+7.51%-1.34%113/330一般
成立以来+40.22%------

Rating

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
ERSI20000.00+14.45%+2890.88131.1122890.88
RSI48500.00+13.61%+6601.89421.1255101.89
MA5196000.00+11.05%+21653.47981.14217653.47
Dynamic Drop121526.17+10.86%+13193.041011.14134719.21
Fixed Drop101000.00+10.60%+10710.931011.15111710.93
Periodic7139.79-27.97%-1997.19471.765142.60

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
015034泰信优势领航混合-0.003286.46
014460平安品质优选混合A0.004283.20
016541交银启衡混合A0.008591.83
000965汇丰晋信新动力混合A0.008780.14
001877宝盈国家安全沪港深股票A0.013087.67
000822东海美丽中国A-0.015585.35
022038兴银数字经济智选混合发起A-0.016885.21
001194景顺长城稳健回报混合A-0.029389.77
005914景顺长城智能生活混合A0.029688.14
008180同泰慧利混合A0.032486.83
004260德邦稳盈增长灵活配置混合A0.034784.72
020430华安景气回报混合发起式A0.035191.83
014938同泰产业升级混合A0.036395.39
001325鹏华弘和混合A-0.037082.24
009242中加核心智造混合A-0.037582.60