平安增利六个月定开债C
(008691.jj)平安基金管理有限公司持有人户数1.00
成立日期2020-03-05
总资产规模
558.61万 (2020-12-31)
基金类型债券型当前净值1.2577基金经理陈浩宇管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率4.90%
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平安增利六个月定开债C(008691) - 历史基金净值数据曲线

最后更新于:2024-12-20

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平安增利六个月定开债C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.25771.2577
2024-12-191.25641.2564
2024-12-181.25671.2567
2024-12-171.25611.2561
2024-12-161.25831.2583
2024-12-131.25951.2595
2024-12-121.25951.2595
2024-12-111.25731.2573
2024-12-101.25501.2550
2024-12-091.25171.2517
2024-12-061.25131.2513
2024-12-051.24941.2494
2024-12-041.24841.2484
2024-12-031.24801.2480
2024-12-021.24791.2479
2024-11-291.24371.2437
2024-11-281.24131.2413
2024-11-271.24031.2403
2024-11-261.23811.2381
2024-11-251.23781.2378
2024-11-221.23651.2365
2024-11-211.23731.2373
2024-11-201.23601.2360
2024-11-191.23501.2350
2024-11-181.23421.2342
2024-11-151.23571.2357
2024-11-141.23621.2362
2024-11-131.23741.2374
2024-11-121.23731.2373
2024-11-111.23731.2373
2024-11-081.23351.2335
2024-11-071.23301.2330
2024-11-061.23021.2302
2024-11-051.22961.2296
2024-11-041.22681.2268
2024-11-011.22511.2251
2024-10-311.22481.2248
2024-10-301.22321.2232
2024-10-291.22371.2237
2024-10-281.22641.2264
2024-10-251.22741.2274
2024-10-241.22651.2265
2024-10-231.22891.2289
2024-10-221.23161.2316
2024-10-211.23351.2335
2024-10-181.23261.2326
2024-10-171.22971.2297
2024-10-161.22911.2291
2024-10-151.22821.2282
2024-10-141.22821.2282