基金 KD 監控儀表板

42 支基金 | 更新於: 01/23 下午10:45
基金名稱淨值K (9) D (9)狀態
B14,013
41.7596.9393.46K ≥ 80
A11012
87.9996.2493.75K ≥ 80
B09,007
112.2895.6495.41K ≥ 80
A10011
102.5395.5491.31K ≥ 80
A36019
250.4294.7493.05K ≥ 80
A36001
184.3493.9891.20K ≥ 80
A32002
247.9393.9790.09K ≥ 80
A32007
151.8193.8389.91K ≥ 80
A14001
107.1193.7490.87K ≥ 80
A32008
314.0293.1987.67K ≥ 80
A16020
77.5093.1189.09K ≥ 80
A32004
225.4892.9987.64K ≥ 80
A47003
93.9192.4291.74K ≥ 80
A45012
110.5992.2987.15K ≥ 80
A32019
99.6492.1685.52K ≥ 80
A31001
100.7591.8789.26K ≥ 80
A23001
74.8291.3386.55K ≥ 80
A08002
360.1990.6887.59K ≥ 80
A09003
378.6390.6384.69K ≥ 80
A36004
435.4890.3988.72K ≥ 80
A32005
87.6190.2984.68K ≥ 80
A10005
305.2690.1684.57K ≥ 80
A23007
89.2389.9983.66K ≥ 80
A23003
263.2389.9682.99K ≥ 80
A23011
98.6089.8883.51K ≥ 80
A47006
102.7289.8583.01K ≥ 80
A07004
353.8789.4983.75K ≥ 80
A23008
261.7689.2184.71K ≥ 80
A25014
106.6689.1586.27K ≥ 80
A23006
118.8988.9083.84K ≥ 80
A16003
316.7188.0084.35K ≥ 80
A09002
534.6487.7279.66K ≥ 80
A16001
132.9087.6682.33K ≥ 80
A47015
228.1687.0280.11K ≥ 80
A16018
92.9086.9882.84K ≥ 80
A37003
202.2984.6476.38K ≥ 80
A32001
241.8278.5069.28-
A09012
428.9365.3244.45-
B09,108
76.1364.8648.22-
A36005
53.4264.4046.20-
A1LztJ2
15.5337.2851.55-
B61,008
167.705.106.43K ≤ 20