平安估值精选混合A
(007893.jj)平安基金管理有限公司持有人户数1,214.00
成立日期2020-04-22
总资产规模
4,543.52万 (2024-09-30)
基金类型混合型当前净值1.1313基金经理王博管理费用率1.20%管托费用率0.20%持仓换手率207.06% (2024-06-30) 成立以来分红再投入年化收益率3.70%
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平安估值精选混合A(007893) - 历史基金净值数据曲线

最后更新于:2024-12-25

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平安估值精选混合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
2024-12-251.13131.1803
2024-12-241.13431.1833
2024-12-231.12901.1780
2024-12-201.13421.1832
2024-12-191.14051.1895
2024-12-181.14821.1972
2024-12-171.14321.1922
2024-12-161.14781.1968
2024-12-131.15671.2057
2024-12-121.17291.2219
2024-12-111.16661.2156
2024-12-101.15971.2087
2024-12-091.15291.2019
2024-12-061.15391.2029
2024-12-051.14361.1926
2024-12-041.14301.1920
2024-12-031.15011.1991
2024-12-021.14901.1980
2024-11-291.14221.1912
2024-11-281.13771.1867
2024-11-271.13751.1865
2024-11-261.12401.1730
2024-11-251.11951.1685
2024-11-221.11721.1662
2024-11-211.13621.1852
2024-11-201.13631.1853
2024-11-191.13231.1813
2024-11-181.12931.1783
2024-11-151.12741.1764
2024-11-141.13771.1867
2024-11-131.14771.1967
2024-11-121.15181.2008
2024-11-111.15671.2057
2024-11-081.16341.2124
2024-11-071.18251.2315
2024-11-061.16491.2139
2024-11-051.15451.2035
2024-11-041.14051.1895
2024-11-011.13681.1858
2024-10-311.13421.1832
2024-10-301.12471.1737
2024-10-291.12361.1726
2024-10-281.13861.1876
2024-10-251.12111.1701
2024-10-241.11111.1601
2024-10-231.12111.1701
2024-10-221.11781.1668
2024-10-211.10581.1548
2024-10-181.10131.1503
2024-10-171.09091.1399