基金详情 (013837)

实时净值

最新净值:

0.6633

(2025-05-22)

估算净值:

0.6527(-1.60%)

(2025-05-23 15:00)

RSI指标:

63.64

(2025-05-23)

历史净值

日期单位净值日增长率累计净值
2025-05-230.6521-1.69%0.6521
2025-05-220.6633-0.57%0.6633
2025-05-210.6671-0.48%0.6671
2025-05-200.6703+1.92%0.6703
2025-05-190.6577+0.63%0.6577
2025-05-160.6536+0.41%0.6536
2025-05-150.6509+0.22%0.6509
2025-05-140.6495+0.57%0.6495
2025-05-130.6458+0.31%0.6458
2025-05-120.6438+0.05%0.6438
2025-05-090.6435+0.91%0.6435
2025-05-080.6377-0.17%0.6377

自选基金

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持仓金额

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