基金详情 (017072)

实时净值

最新净值:

-

(2025-05-25)

估算净值:

-(-%)

(2025-05-25 19:40:58)

RSI指标:

86.67

(2025-05-22)

历史净值

日期单位净值日增长率累计净值
2025-05-221.1133+0.23%1.1133
2025-05-211.1108-1.17%1.1108
2025-05-201.1239+0.12%1.1239
2025-05-191.1225-0.14%1.1225
2025-05-161.1241+1.09%1.1241
2025-05-151.1120-0.13%1.1120
2025-05-141.1134+0.55%1.1134
2025-05-131.1073+1.43%1.1073
2025-05-121.0917+2.35%1.0917
2025-05-091.0666+0.78%1.0666
2025-05-081.0583+1.03%1.0583
2025-05-071.0475+0.44%1.0475

Rating

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
RSI13976.05-21.10%-2949.35661.4111026.70
Periodic8694.28-23.71%-2061.43481.466632.85
Dynamic Drop21804.24-30.24%-6593.671081.6015210.57
Fixed Drop14822.96-32.87%-4872.591081.669950.37
MA530982.12-41.92%-12986.281231.9217995.84
ERSI4961.71-51.30%-2545.21272.292416.50

自选基金

投资策略

持仓金额

¥ 0.00