平安季开鑫定开债C
(007054.jj )
基金经理曹紫寒基金类型债券型成立日期2019-08-14总资产规模2.77万 (2026-06-30) 基金净值1.2946 (2026-08-27) 管理费用率0.30%管托费用率0.10% (2026-05-29) 成立以来分红再投入年化收益率3.74% (1605 / 7439)
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平安季开鑫定开债C(007054) - 历史基金净值数据曲线

最后更新于:2026-08-27

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平安季开鑫定开债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
2026-08-271.29461.2946
2026-08-261.29501.2950
2026-08-251.29511.2951
2026-08-241.29501.2950
2026-08-211.29471.2947
2026-08-201.29481.2948
2026-08-191.29501.2950
2026-08-181.29521.2952
2026-08-171.29481.2948
2026-08-141.29461.2946
2026-08-131.29451.2945
2026-08-121.29411.2941
2026-08-111.29401.2940
2026-08-101.29421.2942
2026-08-071.29371.2937
2026-08-061.29341.2934
2026-08-051.29341.2934
2026-08-041.29331.2933
2026-08-031.29321.2932
2026-07-311.29301.2930
2026-07-301.29271.2927
2026-07-291.29251.2925
2026-07-281.29251.2925
2026-07-271.29271.2927
2026-07-241.29261.2926
2026-07-231.29251.2925
2026-07-221.29231.2923
2026-07-211.29211.2921
2026-07-201.29211.2921
2026-07-171.29201.2920
2026-07-161.29191.2919
2026-07-151.29191.2919
2026-07-141.29181.2918
2026-07-131.29181.2918
2026-07-101.29181.2918
2026-07-091.29171.2917
2026-07-081.29171.2917
2026-07-071.29151.2915
2026-07-061.29151.2915
2026-07-031.29111.2911
2026-07-021.29091.2909
2026-07-011.29081.2908
2026-06-301.29151.2915
2026-06-291.29151.2915
2026-06-261.29111.2911
2026-06-251.29101.2910
2026-06-241.29061.2906
2026-06-231.29041.2904
2026-06-221.29071.2907
2026-06-181.29071.2907