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财务数据

中信保诚嘉润66个月定开纯债(010462)

2023-11-24     1.04030.0673%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2023-11-241.04031.1193
2023-11-171.03961.1186
2023-11-101.03881.1178
2023-11-031.03801.1170
2023-10-271.03731.1163
2023-10-201.03661.1156
2023-10-131.06081.1148
2023-09-281.05941.1134
2023-09-221.05881.1128
2023-09-151.05801.1120
2023-09-081.05721.1112
2023-09-011.05641.1104
2023-08-251.05571.1097
2023-08-181.05491.1089
2023-08-111.05411.1081
2023-08-041.05331.1073
2023-07-281.05251.1065
2023-07-211.05171.1057
2023-07-141.05081.1048
2023-07-071.05001.1040
2023-06-301.04921.1032
2023-06-211.04821.1022
2023-06-161.04771.1017
2023-06-091.04691.1009
2023-06-081.04611.1001
2023-06-021.04611.1001