基金详情 (018036)

实时净值

最新净值:

-

(2025-05-25)

估算净值:

-(-%)

(2025-05-25 20:58:18)

RSI指标:

92.17

(2025-05-22)

历史净值

日期单位净值日增长率累计净值
2025-05-221.4831+0.21%1.4831
2025-05-211.4800-0.11%1.4800
2025-05-201.4817+0.00%1.4817
2025-05-191.4817-0.14%1.4817
2025-05-161.4838+0.05%1.4838
2025-05-151.4830-0.70%1.4830
2025-05-141.4934+1.31%1.4934
2025-05-131.4741+1.80%1.4741
2025-05-121.4481+4.96%1.4481
2025-05-091.3797+0.15%1.3797
2025-05-081.3777+1.03%1.3777
2025-05-071.3637+0.76%1.3637

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
RSI11692.89-17.85%-2087.71501.819605.18
ERSI6145.81-18.56%-1140.65221.825005.16
Fixed Drop18744.75-20.63%-3866.381151.8714878.37
Periodic8650.32-21.53%-1862.71461.896787.61
Dynamic Drop26027.29-21.67%-5639.131151.8920388.16
MA528296.39-25.94%-7339.041032.0020957.35

自选基金

投资策略

持仓金额

¥ 0.00