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金基速查 - 基金速查網(wǎng) - 開放式基金數(shù)據(jù)大全,每日基金凈值查詢

匯安嘉誠債券A(匯安嘉誠一年封閉債券A)基金凈值查詢(007609)

今天最新凈值 1.1152 0.0007 0.0600% 2025-05-22
盤中實時估值(僅供參考) 1.1154 0.0002 0.0169%
  • 累計凈值:1.1677
  • 成立日期:2019-08-09
  • 基金類型:債券型-混合一級
  • 成立份額:
  • 最近份額:0.5346億
  • 最近資產(chǎn):0.20億元
  • 基金公司:匯安基金
  • 基金經(jīng)理:仇秉則 楊坤河
近一季匯安嘉誠債券A|匯安嘉誠一年封閉債券A基金凈值查詢
基金歷史凈值按日期查詢: -
近一季,匯安嘉誠債券A(007609)基金累計收益率0.22%
凈值日期 基金代碼 基金名稱 最新單位凈值 最新累計凈值 上期單位凈值 上期累計凈值 當(dāng)日增長值 當(dāng)日增長率
2025-05-22 007609 匯安嘉誠債券A 1.1116 1.1641 1.1152 1.1677 -0.0036 -0.32%
2025-05-21 007609 匯安嘉誠債券A 1.1152 1.1677 1.1145 1.1670 0.0007 0.06%
2025-05-20 007609 匯安嘉誠債券A 1.1145 1.1670 1.1112 1.1637 0.0033 0.30%
2025-05-19 007609 匯安嘉誠債券A 1.1112 1.1637 1.1095 1.1620 0.0017 0.15%
2025-05-16 007609 匯安嘉誠債券A 1.1095 1.1620 1.1076 1.1601 0.0019 0.17%
2025-05-15 007609 匯安嘉誠債券A 1.1076 1.1601 1.1101 1.1626 -0.0025 -0.23%
2025-05-14 007609 匯安嘉誠債券A 1.1101 1.1626 1.1110 1.1635 -0.0009 -0.08%
2025-05-13 007609 匯安嘉誠債券A 1.1110 1.1635 1.1081 1.1606 0.0029 0.26%
2025-05-12 007609 匯安嘉誠債券A 1.1081 1.1606 1.1012 1.1537 0.0069 0.63%
2025-05-09 007609 匯安嘉誠債券A 1.1012 1.1537 1.1029 1.1554 -0.0017 -0.15%
2025-05-08 007609 匯安嘉誠債券A 1.1029 1.1554 1.0975 1.1500 0.0054 0.49%
2025-05-07 007609 匯安嘉誠債券A 1.0975 1.1500 1.0970 1.1495 0.0005 0.05%
2025-05-06 007609 匯安嘉誠債券A 1.0970 1.1495 1.0892 1.1417 0.0078 0.72%
2025-04-30 007609 匯安嘉誠債券A 1.0892 1.1417 1.0900 1.1425 -0.0008 -0.07%
2025-04-29 007609 匯安嘉誠債券A 1.0900 1.1425 1.0854 1.1379 0.0046 0.42%
2025-04-28 007609 匯安嘉誠債券A 1.0854 1.1379 1.0921 1.1446 -0.0067 -0.61%
2025-04-25 007609 匯安嘉誠債券A 1.0921 1.1446 1.0902 1.1427 0.0019 0.17%
2025-04-24 007609 匯安嘉誠債券A 1.0902 1.1427 1.0904 1.1429 -0.0002 -0.02%
2025-04-23 007609 匯安嘉誠債券A 1.0904 1.1429 1.0858 1.1383 0.0046 0.42%
2025-04-22 007609 匯安嘉誠債券A 1.0858 1.1383 1.0836 1.1361 0.0022 0.20%
2025-04-21 007609 匯安嘉誠債券A 1.0836 1.1361 1.0791 1.1316 0.0045 0.42%
2025-04-18 007609 匯安嘉誠債券A 1.0791 1.1316 1.0795 1.1320 -0.0004 -0.04%
2025-04-17 007609 匯安嘉誠債券A 1.0795 1.1320 1.0760 1.1285 0.0035 0.33%
2025-04-16 007609 匯安嘉誠債券A 1.0760 1.1285 1.0822 1.1347 -0.0062 -0.57%
2025-04-15 007609 匯安嘉誠債券A 1.0822 1.1347 1.0857 1.1382 -0.0035 -0.32%
2025-04-14 007609 匯安嘉誠債券A 1.0857 1.1382 1.0833 1.1358 0.0024 0.22%
2025-04-11 007609 匯安嘉誠債券A 1.0833 1.1358 1.0833 1.1358 0.0000 0.00%
2025-04-10 007609 匯安嘉誠債券A 1.0833 1.1358 1.0811 1.1336 0.0022 0.20%
2025-04-09 007609 匯安嘉誠債券A 1.0811 1.1336 1.0712 1.1237 0.0099 0.92%
2025-04-08 007609 匯安嘉誠債券A 1.0712 1.1237 1.0640 1.1165 0.0072 0.68%
2025-04-07 007609 匯安嘉誠債券A 1.0640 1.1165 1.1025 1.1550 -0.0385 -3.49%
2025-04-03 007609 匯安嘉誠債券A 1.1025 1.1550 1.1072 1.1597 -0.0047 -0.42%
2025-04-02 007609 匯安嘉誠債券A 1.1072 1.1597 1.1055 1.1580 0.0017 0.15%
2025-04-01 007609 匯安嘉誠債券A 1.1055 1.1580 1.1031 1.1556 0.0024 0.22%
2025-03-31 007609 匯安嘉誠債券A 1.1031 1.1556 1.1089 1.1614 -0.0058 -0.52%
2025-03-28 007609 匯安嘉誠債券A 1.1089 1.1614 1.1119 1.1644 -0.0030 -0.27%
2025-03-27 007609 匯安嘉誠債券A 1.1119 1.1644 1.1095 1.1620 0.0024 0.22%
2025-03-26 007609 匯安嘉誠債券A 1.1095 1.1620 1.1032 1.1557 0.0063 0.57%
2025-03-25 007609 匯安嘉誠債券A 1.1032 1.1557 1.0995 1.1520 0.0037 0.34%
2025-03-24 007609 匯安嘉誠債券A 1.0995 1.1520 1.1047 1.1572 -0.0052 -0.47%
2025-03-21 007609 匯安嘉誠債券A 1.1047 1.1572 1.1137 1.1662 -0.0090 -0.81%
2025-03-20 007609 匯安嘉誠債券A 1.1137 1.1662 1.1163 1.1688 -0.0026 -0.23%
2025-03-19 007609 匯安嘉誠債券A 1.1163 1.1688 1.1228 1.1753 -0.0065 -0.58%
2025-03-18 007609 匯安嘉誠債券A 1.1228 1.1753 1.1225 1.1750 0.0003 0.03%
2025-03-17 007609 匯安嘉誠債券A 1.1225 1.1750 1.1204 1.1729 0.0021 0.19%
2025-03-14 007609 匯安嘉誠債券A 1.1204 1.1729 1.1126 1.1651 0.0078 0.70%
2025-03-13 007609 匯安嘉誠債券A 1.1126 1.1651 1.1180 1.1705 -0.0054 -0.48%
2025-03-12 007609 匯安嘉誠債券A 1.1180 1.1705 1.1163 1.1688 0.0017 0.15%
2025-03-11 007609 匯安嘉誠債券A 1.1163 1.1688 1.1193 1.1718 -0.0030 -0.27%
2025-03-10 007609 匯安嘉誠債券A 1.1193 1.1718 1.1179 1.1704 0.0014 0.13%
2025-03-07 007609 匯安嘉誠債券A 1.1179 1.1704 1.1158 1.1683 0.0021 0.19%
2025-03-06 007609 匯安嘉誠債券A 1.1158 1.1683 1.1074 1.1599 0.0084 0.76%
2025-03-05 007609 匯安嘉誠債券A 1.1074 1.1599 1.1050 1.1575 0.0024 0.22%
2025-03-04 007609 匯安嘉誠債券A 1.1050 1.1575 1.1012 1.1537 0.0038 0.35%
2025-03-03 007609 匯安嘉誠債券A 1.1012 1.1537 1.1040 1.1565 -0.0028 -0.25%
2025-02-28 007609 匯安嘉誠債券A 1.1040 1.1565 1.1172 1.1697 -0.0132 -1.18%
2025-02-27 007609 匯安嘉誠債券A 1.1172 1.1697 1.1208 1.1733 -0.0036 -0.32%
2025-02-26 007609 匯安嘉誠債券A 1.1208 1.1733 1.1108 1.1633 0.0100 0.90%
2025-02-25 007609 匯安嘉誠債券A 1.1108 1.1633 1.1120 1.1645 -0.0012 -0.11%
2025-02-24 007609 匯安嘉誠債券A 1.1120 1.1645 1.1128 1.1653 -0.0008 -0.07%
債券型-混合一級基金漲幅榜
基金名稱 單位凈值 日增長率
銀河銀信債券E 1.0360 0.10%
廣發(fā)聚利C 1.3920 0.07%
易增強回報A 1.3760 0.07%
易增強回報B 1.3610 0.07%
廣發(fā)聚利LOF 1.4215 0.07%
銀信添利B 1.0356 0.06%
銀信添利A 1.0403 0.06%
華泰保興尊合債券A 1.2503 0.06%
華泰保興尊合債券C 1.2321 0.06%
南方豐元信用增強債券D 1.4215 0.04%