基金 KD 監控儀表板
共 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 | 41.75 | 96.93 | 93.46 | K ≥ 80 |
A11012 | 87.99 | 96.24 | 93.75 | K ≥ 80 |
B09,007 | 112.28 | 95.64 | 95.41 | K ≥ 80 |
A10011 | 102.53 | 95.54 | 91.31 | K ≥ 80 |
A36019 | 250.42 | 94.74 | 93.05 | K ≥ 80 |
A36001 | 184.34 | 93.98 | 91.20 | K ≥ 80 |
A32002 | 247.93 | 93.97 | 90.09 | K ≥ 80 |
A32007 | 151.81 | 93.83 | 89.91 | K ≥ 80 |
A14001 | 107.11 | 93.74 | 90.87 | K ≥ 80 |
A32008 | 314.02 | 93.19 | 87.67 | K ≥ 80 |
A16020 | 77.50 | 93.11 | 89.09 | K ≥ 80 |
A32004 | 225.48 | 92.99 | 87.64 | K ≥ 80 |
A47003 | 93.91 | 92.42 | 91.74 | K ≥ 80 |
A45012 | 110.59 | 92.29 | 87.15 | K ≥ 80 |
A32019 | 99.64 | 92.16 | 85.52 | K ≥ 80 |
A31001 | 100.75 | 91.87 | 89.26 | K ≥ 80 |
A23001 | 74.82 | 91.33 | 86.55 | K ≥ 80 |
A08002 | 360.19 | 90.68 | 87.59 | K ≥ 80 |
A09003 | 378.63 | 90.63 | 84.69 | K ≥ 80 |
A36004 | 435.48 | 90.39 | 88.72 | K ≥ 80 |
A32005 | 87.61 | 90.29 | 84.68 | K ≥ 80 |
A10005 | 305.26 | 90.16 | 84.57 | K ≥ 80 |
A23007 | 89.23 | 89.99 | 83.66 | K ≥ 80 |
A23003 | 263.23 | 89.96 | 82.99 | K ≥ 80 |
A23011 | 98.60 | 89.88 | 83.51 | K ≥ 80 |
A47006 | 102.72 | 89.85 | 83.01 | K ≥ 80 |
A07004 | 353.87 | 89.49 | 83.75 | K ≥ 80 |
A23008 | 261.76 | 89.21 | 84.71 | K ≥ 80 |
A25014 | 106.66 | 89.15 | 86.27 | K ≥ 80 |
A23006 | 118.89 | 88.90 | 83.84 | K ≥ 80 |
A16003 | 316.71 | 88.00 | 84.35 | K ≥ 80 |
A09002 | 534.64 | 87.72 | 79.66 | K ≥ 80 |
A16001 | 132.90 | 87.66 | 82.33 | K ≥ 80 |
A47015 | 228.16 | 87.02 | 80.11 | K ≥ 80 |
A16018 | 92.90 | 86.98 | 82.84 | K ≥ 80 |
A37003 | 202.29 | 84.64 | 76.38 | K ≥ 80 |
A32001 | 241.82 | 78.50 | 69.28 | - |
A09012 | 428.93 | 65.32 | 44.45 | - |
B09,108 | 76.13 | 64.86 | 48.22 | - |
A36005 | 53.42 | 64.40 | 46.20 | - |
A1LztJ2 | 15.53 | 37.28 | 51.55 | - |
B61,008 | 167.70 | 5.10 | 6.43 | K ≤ 20 |