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财务数据

中信保诚嘉润66个月定开纯债(010462)

2025-05-16     1.07570.0837%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-05-161.07571.1797
2025-05-091.07481.1788
2025-04-301.07381.1778
2025-04-251.07321.1772
2025-04-181.07241.1764
2025-04-111.07161.1756
2025-04-031.07071.1747
2025-03-281.07001.1740
2025-03-211.06921.1732
2025-03-141.06841.1724
2025-03-071.06761.1716
2025-02-281.06691.1709
2025-02-211.06611.1701
2025-02-141.06531.1693
2025-02-071.06461.1686
2025-01-271.06341.1674
2025-01-241.06311.1671
2025-01-171.06241.1664
2025-01-101.06161.1656
2025-01-031.06081.1648
2024-12-311.06051.1645
2024-12-271.06001.1640
2024-12-201.05921.1632
2024-12-131.05841.1624
2024-12-061.05761.1616
2024-11-291.05681.1608