基金详情 (018007)

实时净值

最新净值:

2.0899

(2025-05-22)

估算净值:

2.0735(-0.79%)

(2025-05-23 15:00)

RSI指标:

39.83

(2025-05-23)

历史净值

日期单位净值日增长率累计净值
2025-05-232.0667-1.11%2.0667
2025-05-222.0899-1.35%2.0899
2025-05-212.1185-0.28%2.1185
2025-05-202.1245+0.69%2.1245
2025-05-192.1100+0.21%2.1100
2025-05-162.1055-0.46%2.1055
2025-05-152.1152-0.70%2.1152
2025-05-142.1301+0.05%2.1301
2025-05-132.1290-0.79%2.1290
2025-05-122.1459+1.88%2.1459
2025-05-092.1062-1.30%2.1062
2025-05-082.1340-0.27%2.1340

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds