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中信保诚嘉润66个月定开纯债(010462)

2024-11-15     1.05520.0854%
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净值发布日期 单位净值 累计净值
2024-11-151.05521.1592
2024-11-081.07931.1583
2024-11-011.07851.1575
2024-10-251.07771.1567
2024-10-181.07691.1559
2024-10-111.07611.1551
2024-09-301.07491.1539
2024-09-271.07451.1535
2024-09-201.07381.1528
2024-09-131.07301.1520
2024-09-061.07221.1512
2024-08-301.07141.1504
2024-08-231.07061.1496
2024-08-161.06981.1488
2024-08-091.06901.1480
2024-08-021.06811.1471
2024-07-261.06731.1463
2024-07-191.06651.1455
2024-07-121.06581.1448
2024-07-051.06491.1439
2024-06-301.06441.1434
2024-06-281.06421.1432
2024-06-211.06341.1424
2024-06-141.06261.1416
2024-06-071.06181.1408
2024-05-311.06101.1400