平安研究睿选混合A
(009661.jj ) 平安基金管理有限公司
基金类型混合型成立日期2020-07-17总资产规模8.85亿 (2025-12-31) 基金净值0.8164 (2026-03-09) 基金经理李化松管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率72.09% (2025-06-30) 成立以来分红再投入年化收益率-3.53% (8151 / 9045)
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平安研究睿选混合A(009661) - 历史基金净值数据曲线

最后更新于:2026-03-09

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平安研究睿选混合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
2026-03-090.81640.8164
2026-03-060.81130.8113
2026-03-050.80240.8024
2026-03-040.79770.7977
2026-03-030.80550.8055
2026-03-020.82520.8252
2026-02-270.84400.8440
2026-02-260.84130.8413
2026-02-250.85930.8593
2026-02-240.85620.8562
2026-02-130.84990.8499
2026-02-120.86840.8684
2026-02-110.86780.8678
2026-02-100.87090.8709
2026-02-090.88100.8810
2026-02-060.86530.8653
2026-02-050.85380.8538
2026-02-040.88300.8830
2026-02-030.84060.8406
2026-02-020.80230.8023
2026-01-300.81830.8183
2026-01-290.84940.8494
2026-01-280.84520.8452
2026-01-270.85620.8562
2026-01-260.84690.8469
2026-01-230.87100.8710
2026-01-220.80260.8026
2026-01-210.78560.7856
2026-01-200.79250.7925
2026-01-190.81520.8152
2026-01-160.81600.8160
2026-01-150.80920.8092
2026-01-140.81580.8158
2026-01-130.81760.8176
2026-01-120.83300.8330
2026-01-090.81230.8123
2026-01-080.84140.8414
2026-01-070.83350.8335
2026-01-060.83240.8324
2026-01-050.81250.8125
2025-12-310.79300.7930
2025-12-300.80450.8045
2025-12-290.81330.8133
2025-12-260.81350.8135
2025-12-250.80690.8069
2025-12-240.79850.7985
2025-12-230.79110.7911
2025-12-220.79370.7937
2025-12-190.79060.7906
2025-12-180.78320.7832