平安价值优享混合C
(024472.jj )
基金经理何杰基金类型混合型成立日期2025-06-20总资产规模7,680.00万 (2026-06-30) 基金净值0.8562 (2026-09-04) 管理费用率0.60%管托费用率0.20% (2026-06-30) 成立以来分红再投入年化收益率-12.07% (9131 / 9435)
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平安价值优享混合C(024472) - 历史基金净值数据曲线

最后更新于:2026-09-04

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平安价值优享混合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
2026-09-040.85620.8562
2026-09-030.84630.8463
2026-09-020.85070.8507
2026-09-010.85770.8577
2026-08-310.85150.8515
2026-08-280.85820.8582
2026-08-270.85680.8568
2026-08-260.86150.8615
2026-08-250.86080.8608
2026-08-240.85760.8576
2026-08-210.85830.8583
2026-08-200.86780.8678
2026-08-190.86260.8626
2026-08-180.87060.8706
2026-08-170.87160.8716
2026-08-140.87570.8757
2026-08-130.88740.8874
2026-08-120.88900.8890
2026-08-110.88560.8856
2026-08-100.89190.8919
2026-08-070.88210.8821
2026-08-060.88080.8808
2026-08-050.88410.8841
2026-08-040.88670.8867
2026-08-030.89330.8933
2026-07-310.89750.8975
2026-07-300.89400.8940
2026-07-290.87330.8733
2026-07-280.85860.8586
2026-07-270.85050.8505
2026-07-240.83930.8393
2026-07-230.85390.8539
2026-07-220.85570.8557
2026-07-210.85260.8526
2026-07-200.85560.8556
2026-07-170.84020.8402
2026-07-160.85510.8551
2026-07-150.85250.8525
2026-07-140.83160.8316
2026-07-130.83090.8309
2026-07-100.84120.8412
2026-07-090.82570.8257
2026-07-080.83500.8350
2026-07-070.83850.8385
2026-07-060.85510.8551
2026-07-030.85210.8521
2026-07-020.84820.8482
2026-07-010.84430.8443
2026-06-300.83420.8342
2026-06-290.83560.8356