嘉实致禄3个月定期纯债债券
(007986.jj)嘉实基金管理有限公司持有人户数201.00
成立日期2019-12-04
总资产规模
9.22亿 (2024-09-30)
基金类型债券型当前净值1.0468基金经理祝杨管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率2.98%
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嘉实致禄3个月定期纯债债券(007986) - 历史基金净值数据曲线

最后更新于:2024-12-24

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嘉实致禄3个月定期纯债债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-241.04681.1697
2024-12-231.04701.1699
2024-12-201.04591.1688
2024-12-191.04431.1672
2024-12-181.04241.1653
2024-12-171.04371.1666
2024-12-161.04441.1673
2024-12-131.04141.1643
2024-12-121.03911.1620
2024-12-111.03791.1608
2024-12-101.03811.1610
2024-12-091.03401.1569
2024-12-061.03161.1545
2024-12-051.03191.1548
2024-12-041.03141.1543
2024-12-031.02901.1519
2024-12-021.02881.1517
2024-11-291.02661.1495
2024-11-281.02531.1482
2024-11-271.02341.1463
2024-11-261.02341.1463
2024-11-251.02341.1463
2024-11-221.02251.1454
2024-11-211.02221.1451
2024-11-201.02151.1444
2024-11-191.02151.1444
2024-11-181.02111.1440
2024-11-151.02151.1444
2024-11-141.02141.1443
2024-11-131.02121.1441
2024-11-121.02201.1449
2024-11-111.02051.1434
2024-11-081.01981.1427
2024-11-071.01961.1425
2024-11-061.01871.1416
2024-11-051.01851.1414
2024-11-041.01811.1410
2024-11-011.01781.1407
2024-10-311.01691.1398
2024-10-301.01661.1395
2024-10-291.01631.1392
2024-10-281.01611.1390
2024-10-251.01631.1392
2024-10-241.01631.1392
2024-10-231.01631.1392
2024-10-221.01721.1401
2024-10-211.01831.1412
2024-10-181.01771.1406
2024-10-171.01811.1410
2024-10-161.01741.1403