基金详情 (017073)

实时净值

最新净值:

0.6808

(2025-05-22)

估算净值:

0.6712(-1.41%)

(2025-05-23 15:00)

RSI指标:

57.38

(2025-05-23)

历史净值

日期单位净值日增长率累计净值
2025-05-230.6736-1.06%0.6736
2025-05-220.6808-1.75%0.6808
2025-05-210.6929+1.57%0.6929
2025-05-200.6822-0.01%0.6822
2025-05-190.6823-0.28%0.6823
2025-05-160.6842+0.13%0.6842
2025-05-150.6833-1.71%0.6833
2025-05-140.6952+0.30%0.6952
2025-05-130.6931-0.46%0.6931
2025-05-120.6963+2.16%0.6963
2025-05-090.6816-0.71%0.6816
2025-05-080.6865+1.13%0.6865

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-1.55%+0.13%-0.18%848/1028
近一月+0.45%+1.58%+2.52%718/1024
近三月-7.99%-3.20%-2.42%719/1009
近六月-9.26%+4.61%+0.43%931/984
近一年+8.91%+8.91%+6.60%422/944一般
近两年-24.32%-3.90%-0.79%771/849
近三年---5.62%-4.24%--
近五年--+22.01%+1.52%--
今年来-3.29%+3.69%-1.34%838/999
成立以来-32.64%------

自选基金

投资策略

持仓金额

¥ 0.00