平安兴鑫回报一年定开混合
(011392.jj ) 平安基金管理有限公司
基金类型混合型成立日期2021-03-23总资产规模4.63亿 (2025-09-30) 基金净值0.9496 (2025-12-05) 基金经理王华管理费用率1.20%管托费用率0.20% (2025-09-29) 持仓换手率10.03倍 (2025-06-30) 成立以来分红再投入年化收益率-1.09% (7335 / 8940)
备注 (0): 双击编辑备注
发表讨论

平安兴鑫回报一年定开混合(011392) - 历史基金累计净值数据曲线

最后更新于:2025-12-05

数据选项
加载中......
平安兴鑫回报一年定开混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-050.94960.9496
2025-12-040.93440.9344
2025-12-030.92950.9295
2025-12-020.92410.9241
2025-12-010.92900.9290
2025-11-280.90750.9075
2025-11-270.90180.9018
2025-11-260.89750.8975
2025-11-250.87520.8752
2025-11-240.85710.8571
2025-11-210.85430.8543
2025-11-200.89940.8994
2025-11-190.91120.9112
2025-11-180.90560.9056
2025-11-170.92030.9203
2025-11-140.93070.9307
2025-11-130.94700.9470
2025-11-120.92200.9220
2025-11-110.92820.9282
2025-11-100.93480.9348
2025-11-070.94210.9421
2025-11-060.95480.9548
2025-11-050.92130.9213
2025-11-040.91490.9149
2025-11-030.93550.9355
2025-10-310.94880.9488
2025-10-300.98030.9803
2025-10-290.99130.9913
2025-10-280.97710.9771
2025-10-270.99500.9950
2025-10-240.97100.9710
2025-10-230.93780.9378
2025-10-220.94820.9482
2025-10-210.95180.9518
2025-10-200.93050.9305
2025-10-170.93090.9309
2025-10-160.96630.9663
2025-10-150.98050.9805
2025-10-140.95450.9545
2025-10-131.00521.0052
2025-10-100.99370.9937
2025-10-091.03821.0382
2025-09-300.99700.9970
2025-09-290.98970.9897
2025-09-260.96210.9621
2025-09-250.99780.9978
2025-09-240.99670.9967
2025-09-230.98770.9877
2025-09-220.99740.9974
2025-09-190.96250.9625