平安惠信3个月定开债C
(012441.jj)平安基金管理有限公司
成立日期2021-07-15
总资产规模
766.27 (2024-03-31)
基金类型债券型当前净值1.0582基金经理罗薇田元强管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.24%
备注 (0): 双击编辑备注
发表讨论

平安惠信3个月定开债C(012441) - 历史基金净值数据曲线

最后更新于:2024-07-05

数据选项
加载中......
平安惠信3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
2024-07-051.05821.0971
2024-07-041.05821.0971
2024-07-031.05771.0966
2024-07-021.05741.0963
2024-07-011.05711.0960
2024-06-281.05731.0962
2024-06-271.05691.0958
2024-06-261.05661.0955
2024-06-251.05641.0953
2024-06-241.05621.0951
2024-06-211.05621.0951
2024-06-201.05641.0953
2024-06-191.05621.0951
2024-06-181.05601.0949
2024-06-171.05561.0945
2024-06-141.05541.0943
2024-06-131.05501.0939
2024-06-121.05491.0938
2024-06-111.05481.0937
2024-06-071.05451.0934
2024-06-061.05391.0928
2024-06-051.05351.0924
2024-06-041.05301.0919
2024-06-031.05271.0916
2024-05-311.05211.0910
2024-05-301.05201.0909
2024-05-291.05191.0908
2024-05-281.05121.0901
2024-05-271.05091.0898
2024-05-241.05041.0893
2024-05-231.05011.0890
2024-05-221.04951.0884
2024-05-211.04921.0881
2024-05-201.04921.0881
2024-05-171.04871.0876
2024-05-161.04881.0877
2024-05-151.04871.0876
2024-05-141.04811.0870
2024-05-131.04741.0863
2024-05-101.04671.0856
2024-05-091.04681.0857
2024-05-081.04701.0859
2024-05-071.04631.0852
2024-05-061.04521.0841
2024-04-301.04451.0834
2024-04-291.04371.0826
2024-04-261.04561.0845
2024-04-251.04681.0857
2024-04-241.04721.0861
2024-04-231.04791.0868