嘉实新添益定期混合A
(007266.jj)嘉实基金管理有限公司持有人户数606.00
成立日期2019-08-09
总资产规模
5,248.33万 (2024-09-30)
基金类型混合型当前净值1.1872基金经理 -- 管理费用率0.80%管托费用率0.15%持仓换手率41.27% (2024-06-30) 成立以来分红再投入年化收益率3.33%
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嘉实新添益定期混合A(007266) - 历史基金累计净值数据曲线

最后更新于:2024-11-04

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嘉实新添益定期混合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
2024-11-041.18721.1872
2024-11-011.18301.1830
2024-10-311.18481.1848
2024-10-301.18431.1843
2024-10-291.18611.1861
2024-10-281.19131.1913
2024-10-251.18891.1889
2024-10-241.18561.1856
2024-10-231.19021.1902
2024-10-221.18851.1885
2024-10-211.18751.1875
2024-10-181.18421.1842
2024-10-171.17541.1754
2024-10-161.17681.1768
2024-10-151.17581.1758
2024-10-141.18171.1817
2024-10-111.17001.1700
2024-10-101.18061.1806
2024-10-091.17661.1766
2024-10-081.20491.2049
2024-09-301.19131.1913
2024-09-271.17281.1728
2024-09-261.17161.1716
2024-09-251.16551.1655
2024-09-241.16521.1652
2024-09-231.16111.1611
2024-09-201.16061.1606
2024-09-191.16041.1604
2024-09-181.16081.1608
2024-09-131.15881.1588
2024-09-121.15811.1581
2024-09-111.15801.1580
2024-09-101.15811.1581
2024-09-091.15671.1567
2024-09-061.15831.1583
2024-09-051.15921.1592
2024-09-041.15871.1587
2024-09-031.15891.1589
2024-09-021.15891.1589
2024-08-301.15931.1593
2024-08-291.16011.1601
2024-08-281.16151.1615
2024-08-271.16221.1622
2024-08-261.16351.1635
2024-08-231.16351.1635
2024-08-221.16351.1635
2024-08-211.16321.1632
2024-08-201.16301.1630
2024-08-191.16431.1643
2024-08-161.16171.1617