嘉实方舟6个月滚动持有债券发起A
(013411.jj ) 嘉实基金管理有限公司
基金经理轩璇李欣基金类型债券型成立日期2021-09-24总资产规模6,635.19万 (2026-03-31) 基金净值1.1393 (2026-06-18) 管理费用率0.60%管托费用率0.15% (2026-06-10) 持仓换手率93.91% (2025-12-31) 成立以来分红再投入年化收益率2.79% (4086 / 7340)
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嘉实方舟6个月滚动持有债券发起A(013411) - 历史基金净值数据曲线

最后更新于:2026-06-18

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嘉实方舟6个月滚动持有债券发起A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-06-181.13931.1393
2026-06-171.13981.1398
2026-06-161.13941.1394
2026-06-151.13841.1384
2026-06-121.13631.1363
2026-06-111.13501.1350
2026-06-101.13471.1347
2026-06-091.13611.1361
2026-06-081.13461.1346
2026-06-051.13631.1363
2026-06-041.13791.1379
2026-06-031.13841.1384
2026-06-021.13881.1388
2026-06-011.13791.1379
2026-05-291.13931.1393
2026-05-281.14081.1408
2026-05-271.13991.1399
2026-05-261.14061.1406
2026-05-251.14061.1406
2026-05-221.13931.1393
2026-05-211.13891.1389
2026-05-201.13971.1397
2026-05-191.13971.1397
2026-05-181.13811.1381
2026-05-151.13811.1381
2026-05-141.13901.1390
2026-05-131.14071.1407
2026-05-121.14001.1400
2026-05-111.14081.1408
2026-05-081.14021.1402
2026-05-071.14051.1405
2026-05-061.14021.1402
2026-04-301.14001.1400
2026-04-291.14081.1408
2026-04-281.13871.1387
2026-04-271.13891.1389
2026-04-241.13961.1396
2026-04-231.14061.1406
2026-04-221.14231.1423
2026-04-211.14011.1401
2026-04-201.13961.1396
2026-04-171.13921.1392
2026-04-161.13831.1383
2026-04-151.13641.1364
2026-04-141.13661.1366
2026-04-131.13571.1357
2026-04-101.13501.1350
2026-04-091.13411.1341
2026-04-081.13441.1344
2026-04-071.13271.1327