基金详情 (070031)

实时净值

最新净值:

-

(2025-05-25)

估算净值:

-(-%)

(2025-05-25 20:58:15)

RSI指标:

43.18

(2025-05-22)

历史净值

日期单位净值日增长率累计净值
2025-05-221.0680-0.74%1.5180
2025-05-211.0760-2.09%1.5260
2025-05-201.0990-0.27%1.5490
2025-05-191.1020+0.09%1.5520
2025-05-161.1010+1.10%1.5510
2025-05-151.0890+2.06%1.5390
2025-05-141.0670-1.02%1.5170
2025-05-131.0780-1.28%1.5280
2025-05-121.0920-0.64%1.5420
2025-05-091.0990+1.29%1.5490
2025-05-081.0850-0.55%1.5350
2025-05-071.0910+0.00%1.5410

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
Dynamic Drop29270.02-36.68%-10736.52971.6918533.50
Fixed Drop21273.25-38.91%-8277.21971.7512996.04
Periodic10004.68-40.15%-4016.40481.785988.28
RSI9734.33-41.57%-4046.27421.835688.06
MA538616.42-42.67%-16476.69921.8622139.73
ERSI6339.83-66.17%-4195.25133.162144.58

自选基金

投资策略

持仓金额

¥ 0.00