社区
首页
集团介绍
社区
资讯
行情
学堂
TigerAI
登录
注册
平安港元货币基金 P类
ISIN: HK0000996873
日涨跌幅(06-02)
+0.01%
单位净值(06-02)
102.3197
基本资料
管理公司:
Ping An of China Asset Management (HK)Co
发行日期:
2025-05-16
基金规模:
8.70亿
投资板块:
公司债
地理分布:
--
管理费率:
0.00%
近一月
近三月
近六月
近一年
近三年
近一周
+0.04%
近一月
+0.19%
近三月
+0.54%
近六月
+1.16%
今年以来
+0.94%
近一年
+2.19%
近二年
--
近三年
--
近五年
--
热议股票
{"i18n":{"language":"zh_CN"},"fundInfo":{"productId":60236028,"code":"HK0000996873","name":"平安港元货币基金 P类","dayReturn":0.0001,"nav":102.3197,"navDate":1780329600000,"symbol":"HK0000996873.HKD","fundReturn":{"week1":0.0004,"month1":0.0019,"month3":0.0054,"month6":0.0116,"ytd":0.0094,"year1":0.0219,"year2":null,"year3":null,"year5":null},"fundNavChange":{"period":"MONTH1","items":[{"date":1777824000000,"nav":102.1435,"dayChangeRate":0.0002},{"date":1777910400000,"nav":102.1513,"dayChangeRate":0.0001},{"date":1777996800000,"nav":102.1571,"dayChangeRate":0.0001},{"date":1778083200000,"nav":102.162,"dayChangeRate":0},{"date":1778169600000,"nav":102.1679,"dayChangeRate":0.0001},{"date":1778428800000,"nav":102.1854,"dayChangeRate":0.0002},{"date":1778515200000,"nav":102.1925,"dayChangeRate":0.0001},{"date":1778601600000,"nav":102.1983,"dayChangeRate":0.0001},{"date":1778688000000,"nav":102.2043,"dayChangeRate":0.0001},{"date":1778774400000,"nav":102.2099,"dayChangeRate":0.0001},{"date":1779033600000,"nav":102.2266,"dayChangeRate":0.0002},{"date":1779120000000,"nav":102.2333,"dayChangeRate":0.0001},{"date":1779206400000,"nav":102.2397,"dayChangeRate":0.0001},{"date":1779292800000,"nav":102.2459,"dayChangeRate":0.0001},{"date":1779379200000,"nav":102.2519,"dayChangeRate":0.0001},{"date":1779724800000,"nav":102.2744,"dayChangeRate":0.0002},{"date":1779811200000,"nav":102.2825,"dayChangeRate":0.0001},{"date":1779897600000,"nav":102.2885,"dayChangeRate":0.0001},{"date":1779984000000,"nav":102.295,"dayChangeRate":0.0001},{"date":1780243200000,"nav":102.3122,"dayChangeRate":0.0002},{"date":1780329600000,"nav":102.3197,"dayChangeRate":0.0001}]},"detail":{"companyId":55,"fundHouse":"Ping An of China Asset Management (HK)Co","launchDate":1747324800000,"fundSize":870423071,"fundSizeCurrency":null,"sector":"公司债","geographicalAllocation":null,"annualManagementCharge":0}},"isLogin":false}