基金详情 (160141)

实时净值

最新净值:

-

(2025-04-07)

估算净值:

-(-%)

(2025-04-07 08:36:31)

RSI指标:

66.06

(2025-04-02)

历史净值

日期单位净值日增长率累计净值
2025-04-021.2679+0.60%1.2879
2025-04-011.2604+0.00%1.2804
2025-03-311.2604+0.93%1.2804
2025-03-281.2488-0.05%1.2688
2025-03-271.2494-0.51%1.2694
2025-03-261.2558+0.58%1.2758
2025-03-251.2485-0.95%1.2685
2025-03-241.2605+1.75%1.2805
2025-03-211.2388-1.33%1.2588
2025-03-201.2555-0.13%1.2755
2025-03-191.2571+0.06%1.2771
2025-03-181.2563-0.57%1.2763

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.96%-0.62%-7.66%40/339优秀
近一月-2.96%-1.30%-8.99%196/337
近三月+2.18%+6.70%-5.44%169/330
近六月-2.75%+5.08%-10.66%253/319
近一年+10.89%+19.52%+0.61%125/295一般
近两年+19.92%+26.97%-12.95%142/203
近三年-0.33%+27.94%-14.72%129/147
近五年+61.33%+64.47%-5.49%46/86
今年来+1.33%+5.66%-8.78%175/330
成立以来+28.95%------

Rating

History Score

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 Drop148378.99+2.95%+4375.281161.23152754.27
Fixed Drop116000.00+2.74%+3176.031161.23119176.03
MA5180000.00+2.37%+4263.44901.24184263.44
Periodic47058.35+2.31%+1086.01481.2448144.36
RSI42000.00+2.00%+842.04351.2442842.04
ERSI46000.00+1.24%+569.40141.2546569.40

自选基金

投资策略