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财务数据

中信保诚嘉润66个月定开纯债(010462)

2024-04-19     1.05620.0758%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-04-191.05621.1352
2024-04-121.05541.1344
2024-04-031.05441.1334
2024-03-291.05391.1329
2024-03-221.05311.1321
2024-03-151.05241.1314
2024-03-081.05161.1306
2024-03-011.05081.1298
2024-02-231.05001.1290
2024-02-081.04841.1274
2024-02-021.04781.1268
2024-01-261.04701.1260
2024-01-191.04631.1253
2024-01-121.04551.1245
2024-01-051.04471.1237
2023-12-311.04421.1232
2023-12-291.04411.1231
2023-12-221.04341.1224
2023-12-151.04261.1216
2023-12-081.04181.1208
2023-12-011.04111.1201
2023-11-241.04031.1193
2023-11-171.03961.1186
2023-11-101.03881.1178
2023-11-031.03801.1170