基金详情 (019088)

实时净值

最新净值:

0.9504

(2025-05-26)

估算净值:

0.9421(-0.87%)

(2025-05-27 15:00)

RSI指标:

44.47

(2025-05-27)

历史净值

日期单位净值日增长率累计净值
2025-05-270.9430-0.78%0.9430
2025-05-260.9504+0.14%0.9504
2025-05-230.9491-0.25%0.9491
2025-05-220.9515-1.34%0.9515
2025-05-210.9644+0.49%0.9644
2025-05-200.9597+0.41%0.9597
2025-05-190.9558-0.85%0.9558
2025-05-160.9640-0.08%0.9640
2025-05-150.9648-0.89%0.9648
2025-05-140.9735+1.18%0.9735
2025-05-130.9621-0.60%0.9621
2025-05-120.9679+1.54%0.9679

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-1.74%-1.62%-1.51%2202/3848
近一月+1.06%+1.42%+1.38%2329/3800
近三月-3.33%-4.72%-3.24%1669/3573一般
近六月-6.61%+0.02%-1.73%2709/3241
近一年+3.77%+12.38%+5.60%2081/2810
近两年--+1.84%-0.30%--
近三年--+2.18%-4.05%--
近五年--+17.60%-0.16%--
今年来+1.86%+0.63%-2.43%974/3435良好
成立以来-5.70%------

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
RSI74446.14+4.40%+3276.01790.9077722.15
Fixed Drop100165.74+3.39%+3392.551210.91103558.29
MA5211179.79+3.33%+7037.491280.91218217.28
Dynamic Drop147012.69+3.10%+4553.581210.91151566.27
Periodic40414.84+1.78%+721.31470.9341136.15
ERSI66720.01+1.53%+1022.79240.9367742.80

自选基金

投资策略

持仓金额

¥ 0.00