平安估值优势混合C
(006458.jj ) 平安基金管理有限公司
基金类型混合型成立日期2018-12-05总资产规模4,667.14万 (2025-12-31) 基金净值1.6438 (2026-01-23) 基金经理何杰管理费用率0.80%管托费用率0.12% (2025-06-30) 成立以来分红再投入年化收益率7.22% (3904 / 9002)
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平安估值优势混合C(006458) - 历史基金净值数据曲线

最后更新于:2026-01-23

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平安估值优势混合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
2026-01-231.64381.6438
2026-01-221.63611.6361
2026-01-211.63631.6363
2026-01-201.64871.6487
2026-01-191.63451.6345
2026-01-161.62581.6258
2026-01-151.62591.6259
2026-01-141.62541.6254
2026-01-131.62421.6242
2026-01-121.62991.6299
2026-01-091.61881.6188
2026-01-081.61251.6125
2026-01-071.60631.6063
2026-01-061.61721.6172
2026-01-051.59911.5991
2025-12-311.58361.5836
2025-12-301.58941.5894
2025-12-291.59241.5924
2025-12-261.59751.5975
2025-12-251.59961.5996
2025-12-241.59001.5900
2025-12-231.58461.5846
2025-12-221.59151.5915
2025-12-191.59001.5900
2025-12-181.57531.5753
2025-12-171.58131.5813
2025-12-161.57701.5770
2025-12-151.58411.5841
2025-12-121.58301.5830
2025-12-111.57671.5767
2025-12-101.58381.5838
2025-12-091.58001.5800
2025-12-081.59361.5936
2025-12-051.59891.5989
2025-12-041.58901.5890
2025-12-031.59511.5951
2025-12-021.60171.6017
2025-12-011.60971.6097
2025-11-281.61021.6102
2025-11-271.60691.6069
2025-11-261.60871.6087
2025-11-251.61321.6132
2025-11-241.61401.6140
2025-11-211.60431.6043
2025-11-201.62481.6248
2025-11-191.62611.6261
2025-11-181.63141.6314
2025-11-171.63871.6387
2025-11-141.64121.6412
2025-11-131.64811.6481