平安研究睿选混合C
(009662.jj )
基金经理区少萍基金类型混合型成立日期2020-07-17总资产规模1.34亿 (2026-06-30) 基金净值0.5584 (2026-09-03) 管理费用率1.20%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率-9.07% (8905 / 9421)
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平安研究睿选混合C(009662) - 历史基金净值数据曲线

最后更新于:2026-09-03

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平安研究睿选混合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
2026-09-030.55840.5584
2026-09-020.55170.5517
2026-09-010.56400.5640
2026-08-310.56750.5675
2026-08-280.57070.5707
2026-08-270.56510.5651
2026-08-260.56190.5619
2026-08-250.55560.5556
2026-08-240.56200.5620
2026-08-210.56230.5623
2026-08-200.55210.5521
2026-08-190.55250.5525
2026-08-180.55980.5598
2026-08-170.55940.5594
2026-08-140.54870.5487
2026-08-130.54600.5460
2026-08-120.56010.5601
2026-08-110.56020.5602
2026-08-100.57790.5779
2026-08-070.57100.5710
2026-08-060.56520.5652
2026-08-050.56260.5626
2026-08-040.54920.5492
2026-08-030.54840.5484
2026-07-310.55330.5533
2026-07-300.55190.5519
2026-07-290.55010.5501
2026-07-280.54060.5406
2026-07-270.54880.5488
2026-07-240.53900.5390
2026-07-230.55780.5578
2026-07-220.54660.5466
2026-07-210.54380.5438
2026-07-200.53270.5327
2026-07-170.52540.5254
2026-07-160.54240.5424
2026-07-150.55210.5521
2026-07-140.55450.5545
2026-07-130.54070.5407
2026-07-100.55580.5558
2026-07-090.56960.5696
2026-07-080.57320.5732
2026-07-070.59750.5975
2026-07-060.61150.6115
2026-07-030.61730.6173
2026-07-020.62690.6269
2026-07-010.63750.6375
2026-06-300.63420.6342
2026-06-290.64450.6445
2026-06-260.64140.6414