嘉实中创400ETF联接C
(005727.jj ) 中创400 (半年) 嘉实基金管理有限公司
基金经理张超梁基金类型指数型基金(ETF,联接型)成立日期2018-03-07总资产规模753.27万 (2026-03-31) 基金净值1.2926 (2026-07-17) 管理费用率0.50%管托费用率0.10% (2026-06-25) 成立以来分红再投入年化收益率3.21% (3645 / 6123)
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嘉实中创400ETF联接C(005727) - 历史基金净值数据曲线

最后更新于:2026-07-17

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嘉实中创400ETF联接C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-171.29261.2926
2026-07-161.37251.3725
2026-07-151.40571.4057
2026-07-141.42401.4240
2026-07-131.40531.4053
2026-07-101.47971.4797
2026-07-091.49071.4907
2026-07-081.45791.4579
2026-07-071.49541.4954
2026-07-061.51871.5187
2026-07-031.54571.5457
2026-07-021.54291.5429
2026-07-011.59071.5907
2026-06-301.58401.5840
2026-06-291.53971.5397
2026-06-261.53601.5360
2026-06-251.57551.5755
2026-06-241.56631.5663
2026-06-231.53981.5398
2026-06-221.58241.5824
2026-06-181.56221.5622
2026-06-171.54841.5484
2026-06-161.53581.5358
2026-06-151.51011.5101
2026-06-121.45211.4521
2026-06-111.44181.4418
2026-06-101.44741.4474
2026-06-091.47341.4734
2026-06-081.42451.4245
2026-06-051.47541.4754
2026-06-041.49021.4902
2026-06-031.48901.4890
2026-06-021.48511.4851
2026-06-011.47791.4779
2026-05-291.49191.4919
2026-05-281.54101.5410
2026-05-271.52621.5262
2026-05-261.55011.5501
2026-05-251.57021.5702
2026-05-221.55161.5516
2026-05-211.51831.5183
2026-05-201.56301.5630
2026-05-191.56191.5619
2026-05-181.54661.5466
2026-05-151.53701.5370
2026-05-141.55261.5526
2026-05-131.59221.5922
2026-05-121.56511.5651
2026-05-111.57581.5758
2026-05-081.54931.5493