平安估值优势混合A
(006457.jj)平安基金管理有限公司
成立日期2018-12-05
总资产规模
259.62万 (2024-06-30)
基金类型混合型当前净值1.2647基金经理陈浩宇区少萍管理费用率0.80%管托费用率0.12%持仓换手率526.67% (2023-12-31) 成立以来分红再投入年化收益率4.24%
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平安估值优势混合A(006457) - 历史基金累计净值数据曲线

最后更新于:2024-07-30

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平安估值优势混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-301.26471.2647
2024-07-291.27891.2789
2024-07-261.26621.2662
2024-07-251.27441.2744
2024-07-241.29591.2959
2024-07-231.28371.2837
2024-07-221.29141.2914
2024-07-191.29851.2985
2024-07-181.31121.3112
2024-07-171.30211.3021
2024-07-161.32251.3225
2024-07-151.32281.3228
2024-07-121.31531.3153
2024-07-111.31791.3179
2024-07-101.31331.3133
2024-07-091.34091.3409
2024-07-081.33471.3347
2024-07-051.33111.3311
2024-07-041.33481.3348
2024-07-031.33431.3343
2024-07-021.34161.3416
2024-07-011.34371.3437
2024-06-281.33221.3322
2024-06-271.32581.3258
2024-06-261.33861.3386
2024-06-251.34221.3422
2024-06-241.34101.3410
2024-06-211.35431.3543
2024-06-201.36051.3605
2024-06-191.35871.3587
2024-06-181.35991.3599
2024-06-171.36021.3602
2024-06-141.37391.3739
2024-06-131.37301.3730
2024-06-121.38371.3837
2024-06-111.36961.3696
2024-06-071.38931.3893
2024-06-061.38981.3898
2024-06-051.37951.3795
2024-06-041.39781.3978
2024-06-031.38761.3876
2024-05-311.38621.3862
2024-05-301.38891.3889
2024-05-291.40881.4088
2024-05-281.40641.4064
2024-05-271.40681.4068
2024-05-241.38601.3860
2024-05-231.39351.3935
2024-05-221.41181.4118
2024-05-211.42511.4251