平安养老目标日期2030一年持有(FOF)Y
(017333.jj )
基金类型FOF(养老目标基金)成立日期2022-11-23总资产规模5,532.50万 (2025-12-31) 基金净值0.9866 (2026-01-21) 基金经理齐爱军管理费用率0.30%管托费用率0.06% (2025-09-29) 成立以来分红再投入年化收益率0.73% (1225 / 1354)
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平安养老目标日期2030一年持有(FOF)Y(017333) - 历史基金净值数据曲线

最后更新于:2026-01-21

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平安养老目标日期2030一年持有(FOF)Y历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-210.98660.9866
2026-01-200.98340.9834
2026-01-190.98310.9831
2026-01-160.98170.9817
2026-01-150.98160.9816
2026-01-140.98140.9814
2026-01-130.97980.9798
2026-01-120.98080.9808
2026-01-090.97810.9781
2026-01-080.97590.9759
2026-01-070.97650.9765
2026-01-060.97620.9762
2026-01-050.97370.9737
2025-12-290.97080.9708
2025-12-260.97270.9727
2025-12-250.97210.9721
2025-12-240.97210.9721
2025-12-230.97130.9713
2025-12-220.97060.9706
2025-12-190.96800.9680
2025-12-180.96730.9673
2025-12-170.96770.9677
2025-12-160.96470.9647
2025-12-150.96730.9673
2025-12-120.96810.9681
2025-12-110.96540.9654
2025-12-100.96630.9663
2025-12-090.96510.9651
2025-12-080.96640.9664
2025-12-050.96630.9663
2025-12-040.96460.9646
2025-12-030.96490.9649
2025-12-020.96560.9656
2025-12-010.96670.9667
2025-11-280.96520.9652
2025-11-270.96400.9640
2025-11-260.96430.9643
2025-11-250.96440.9644
2025-11-240.96240.9624
2025-11-210.96120.9612
2025-11-200.96520.9652
2025-11-190.96590.9659
2025-11-180.96490.9649
2025-11-170.96700.9670
2025-11-140.96870.9687
2025-11-130.97150.9715
2025-11-120.96910.9691
2025-11-110.96930.9693
2025-11-100.96970.9697
2025-11-070.96790.9679