鹏华远见精选混合发起式C
(019821.jj )
基金经理王子建基金类型混合型成立日期2023-12-01总资产规模7.45亿 (2026-06-30) 基金净值2.2808 (2026-08-27) 管理费用率1.20%管托费用率0.20% (2025-12-31) 成立以来分红再投入年化收益率35.23% (261 / 9384)
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鹏华远见精选混合发起式C(019821) - 历史基金净值数据曲线

最后更新于:2026-08-27

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鹏华远见精选混合发起式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
2026-08-272.28082.2808
2026-08-262.19762.1976
2026-08-252.17802.1780
2026-08-242.17592.1759
2026-08-212.25832.2583
2026-08-202.23082.2308
2026-08-192.22362.2236
2026-08-182.44112.4411
2026-08-172.44052.4405
2026-08-142.35052.3505
2026-08-132.29482.2948
2026-08-122.31362.3136
2026-08-112.26432.2643
2026-08-102.28292.2829
2026-08-072.31352.3135
2026-08-062.24872.2487
2026-08-052.20562.2056
2026-08-042.13812.1381
2026-08-031.95911.9591
2026-07-312.02522.0252
2026-07-301.91831.9183
2026-07-292.09202.0920
2026-07-282.11692.1169
2026-07-272.34902.3490
2026-07-242.30092.3009
2026-07-232.33462.3346
2026-07-222.37182.3718
2026-07-212.44492.4449
2026-07-202.21032.2103
2026-07-172.34532.3453
2026-07-162.59172.5917
2026-07-152.69932.6993
2026-07-142.79792.7979
2026-07-132.64662.6466
2026-07-102.80022.8002
2026-07-092.95262.9526
2026-07-082.76042.7604
2026-07-072.80472.8047
2026-07-062.86172.8617
2026-07-032.96802.9680
2026-07-022.98882.9888
2026-07-013.25133.2513
2026-06-303.33103.3310
2026-06-293.21383.2138
2026-06-263.25723.2572
2026-06-253.41313.4131
2026-06-243.29383.2938
2026-06-233.20733.2073
2026-06-223.31673.3167
2026-06-183.18223.1822