平安瑞兴1年持有混合A
(010056.jj)平安基金管理有限公司持有人户数1,959.00
成立日期2020-11-04
总资产规模
2.09亿 (2024-09-30)
基金类型混合型当前净值1.3382基金经理高勇标张文平管理费用率0.60%管托费用率0.16%持仓换手率75.88% (2024-06-30) 成立以来分红再投入年化收益率7.32%
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平安瑞兴1年持有混合A(010056) - 历史基金净值数据曲线

最后更新于:2024-12-20

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平安瑞兴1年持有混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.33821.3382
2024-12-191.33551.3355
2024-12-181.33531.3353
2024-12-171.33681.3368
2024-12-161.33921.3392
2024-12-131.33931.3393
2024-12-121.33791.3379
2024-12-111.33371.3337
2024-12-101.33151.3315
2024-12-091.32531.3253
2024-12-061.32461.3246
2024-12-051.32351.3235
2024-12-041.32131.3213
2024-12-031.32081.3208
2024-12-021.31991.3199
2024-11-291.31401.3140
2024-11-281.31011.3101
2024-11-271.30881.3088
2024-11-261.30681.3068
2024-11-251.30831.3083
2024-11-221.30361.3036
2024-11-211.30681.3068
2024-11-201.30621.3062
2024-11-191.30391.3039
2024-11-181.30161.3016
2024-11-151.30241.3024
2024-11-141.30361.3036
2024-11-131.30661.3066
2024-11-121.30711.3071
2024-11-111.30961.3096
2024-11-081.30401.3040
2024-11-071.30371.3037
2024-11-061.29801.2980
2024-11-051.29841.2984
2024-11-041.29481.2948
2024-11-011.29241.2924
2024-10-311.29321.2932
2024-10-301.29321.2932
2024-10-291.29361.2936
2024-10-281.29361.2936
2024-10-251.29471.2947
2024-10-241.29421.2942
2024-10-231.29631.2963
2024-10-221.29641.2964
2024-10-211.29601.2960
2024-10-181.29671.2967
2024-10-171.29551.2955
2024-10-161.29611.2961
2024-10-151.29581.2958
2024-10-141.29701.2970