嘉实致华纯债债券C
(021618.jj ) 嘉实基金管理有限公司
基金类型债券型成立日期2024-07-17总资产规模1.10亿 (2025-12-31) 基金净值1.0438 (2026-02-03) 基金经理王立芹管理费用率0.30%管托费用率0.10% (2025-06-30) 成立以来分红再投入年化收益率2.26% (5418 / 7202)
备注 (0): 双击编辑备注
发表讨论

嘉实致华纯债债券C(021618) - 历史基金净值数据曲线

最后更新于:2026-02-03

数据选项
加载中......
嘉实致华纯债债券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
2026-02-031.04381.0842
2026-02-021.04401.0844
2026-01-301.04411.0845
2026-01-291.04421.0846
2026-01-281.04431.0847
2026-01-271.04421.0846
2026-01-261.04461.0850
2026-01-231.04431.0847
2026-01-221.04381.0842
2026-01-211.04371.0841
2026-01-201.04321.0836
2026-01-191.04271.0831
2026-01-161.04251.0829
2026-01-151.04201.0823
2026-01-141.04141.0817
2026-01-131.04131.0816
2026-01-121.04091.0812
2026-01-091.04041.0807
2026-01-081.04001.0803
2026-01-071.03941.0797
2026-01-061.03981.0801
2026-01-051.04021.0805
2025-12-311.03961.0799
2025-12-301.03961.0799
2025-12-291.03961.0799
2025-12-261.04041.0807
2025-12-251.04021.0805
2025-12-241.04021.0805
2025-12-231.04031.0806
2025-12-221.04001.0803
2025-12-191.04011.0804
2025-12-181.03931.0796
2025-12-171.03881.0791
2025-12-161.03831.0786
2025-12-151.03831.0786
2025-12-121.03891.0792
2025-12-111.03901.0793
2025-12-101.03841.0787
2025-12-091.03801.0783
2025-12-081.03761.0779
2025-12-051.03781.0781
2025-12-041.03791.0782
2025-12-031.03901.0793
2025-12-021.03941.0797
2025-12-011.03971.0800
2025-11-281.03951.0798
2025-11-271.03901.0793
2025-11-261.03931.0796
2025-11-251.04081.0811
2025-11-241.04141.0817