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嘉實致華純債債券A(嘉實致華純債債券)基金凈值查詢(007716)

今天最新凈值 1.0544 0.0002 0.0200% 2025-05-22
盤中實時估值(僅供參考) %
  • 累計凈值:1.1876
  • 成立日期:2019-11-07
  • 基金類型:債券型-長債
  • 成立份額:
  • 最近份額:39.6367億
  • 最近資產(chǎn):36.09億元
  • 基金公司:嘉實基金
  • 基金經(jīng)理:曲揚 王立芹
近一季嘉實致華純債債券A|嘉實致華純債債券基金凈值查詢
基金歷史凈值按日期查詢: -
近一季,嘉實致華純債債券A(007716)基金累計收益率0.63%
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 當日增長值 當日增長率
2025-05-22 007716 嘉實致華純債債券A 1.0546 1.1878 1.0544 1.1876 0.0002 0.02%
2025-05-21 007716 嘉實致華純債債券A 1.0544 1.1876 1.0542 1.1874 0.0002 0.02%
2025-05-20 007716 嘉實致華純債債券A 1.0542 1.1874 1.0538 1.1870 0.0004 0.04%
2025-05-19 007716 嘉實致華純債債券A 1.0538 1.1870 1.0530 1.1862 0.0008 0.08%
2025-05-16 007716 嘉實致華純債債券A 1.0530 1.1862 1.0535 1.1867 -0.0005 -0.05%
2025-05-15 007716 嘉實致華純債債券A 1.0535 1.1867 1.0537 1.1869 -0.0002 -0.02%
2025-05-14 007716 嘉實致華純債債券A 1.0537 1.1869 1.0539 1.1871 -0.0002 -0.02%
2025-05-13 007716 嘉實致華純債債券A 1.0539 1.1871 1.0528 1.1860 0.0011 0.10%
2025-05-12 007716 嘉實致華純債債券A 1.0528 1.1860 1.0546 1.1878 -0.0018 -0.17%
2025-05-09 007716 嘉實致華純債債券A 1.0546 1.1878 1.0540 1.1872 0.0006 0.06%
2025-05-08 007716 嘉實致華純債債券A 1.0540 1.1872 1.0526 1.1858 0.0014 0.13%
2025-05-07 007716 嘉實致華純債債券A 1.0526 1.1858 1.0530 1.1862 -0.0004 -0.04%
2025-05-06 007716 嘉實致華純債債券A 1.0530 1.1862 1.0528 1.1860 0.0002 0.02%
2025-04-30 007716 嘉實致華純債債券A 1.0528 1.1860 1.0524 1.1856 0.0004 0.04%
2025-04-29 007716 嘉實致華純債債券A 1.0524 1.1856 1.0509 1.1841 0.0015 0.14%
2025-04-28 007716 嘉實致華純債債券A 1.0509 1.1841 1.0502 1.1834 0.0007 0.07%
2025-04-25 007716 嘉實致華純債債券A 1.0502 1.1834 1.0501 1.1833 0.0001 0.01%
2025-04-24 007716 嘉實致華純債債券A 1.0501 1.1833 1.0505 1.1837 -0.0004 -0.04%
2025-04-23 007716 嘉實致華純債債券A 1.0505 1.1837 1.0513 1.1845 -0.0008 -0.08%
2025-04-22 007716 嘉實致華純債債券A 1.0513 1.1845 1.0507 1.1839 0.0006 0.06%
2025-04-21 007716 嘉實致華純債債券A 1.0507 1.1839 1.0511 1.1843 -0.0004 -0.04%
2025-04-18 007716 嘉實致華純債債券A 1.0511 1.1843 1.0509 1.1841 0.0002 0.02%
2025-04-17 007716 嘉實致華純債債券A 1.0509 1.1841 1.0513 1.1845 -0.0004 -0.04%
2025-04-16 007716 嘉實致華純債債券A 1.0513 1.1845 1.0509 1.1841 0.0004 0.04%
2025-04-15 007716 嘉實致華純債債券A 1.0509 1.1841 1.0589 1.1842 -0.0001 -0.01%
2025-04-14 007716 嘉實致華純債債券A 1.0589 1.1842 1.0588 1.1841 0.0001 0.01%
2025-04-11 007716 嘉實致華純債債券A 1.0588 1.1841 1.0589 1.1842 -0.0001 -0.01%
2025-04-10 007716 嘉實致華純債債券A 1.0589 1.1842 1.0590 1.1843 -0.0001 -0.01%
2025-04-09 007716 嘉實致華純債債券A 1.0590 1.1843 1.0589 1.1842 0.0001 0.01%
2025-04-08 007716 嘉實致華純債債券A 1.0589 1.1842 1.0609 1.1862 -0.0020 -0.19%
2025-04-07 007716 嘉實致華純債債券A 1.0609 1.1862 1.0575 1.1828 0.0034 0.32%
2025-04-03 007716 嘉實致華純債債券A 1.0575 1.1828 1.0544 1.1797 0.0031 0.29%
2025-04-02 007716 嘉實致華純債債券A 1.0544 1.1797 1.0529 1.1782 0.0015 0.14%
2025-04-01 007716 嘉實致華純債債券A 1.0529 1.1782 1.0526 1.1779 0.0003 0.03%
2025-03-31 007716 嘉實致華純債債券A 1.0526 1.1779 1.0523 1.1776 0.0003 0.03%
2025-03-28 007716 嘉實致華純債債券A 1.0523 1.1776 1.0523 1.1776 0.0000 0.00%
2025-03-27 007716 嘉實致華純債債券A 1.0523 1.1776 1.0523 1.1776 0.0000 0.00%
2025-03-26 007716 嘉實致華純債債券A 1.0523 1.1776 1.0515 1.1768 0.0008 0.08%
2025-03-25 007716 嘉實致華純債債券A 1.0515 1.1768 1.0508 1.1761 0.0007 0.07%
2025-03-24 007716 嘉實致華純債債券A 1.0508 1.1761 1.0501 1.1754 0.0007 0.07%
2025-03-21 007716 嘉實致華純債債券A 1.0501 1.1754 1.0499 1.1752 0.0002 0.02%
2025-03-20 007716 嘉實致華純債債券A 1.0499 1.1752 1.0473 1.1726 0.0026 0.25%
2025-03-19 007716 嘉實致華純債債券A 1.0473 1.1726 1.0463 1.1716 0.0010 0.10%
2025-03-18 007716 嘉實致華純債債券A 1.0463 1.1716 1.0457 1.1710 0.0006 0.06%
2025-03-17 007716 嘉實致華純債債券A 1.0457 1.1710 1.0483 1.1736 -0.0026 -0.25%
2025-03-14 007716 嘉實致華純債債券A 1.0483 1.1736 1.0477 1.1730 0.0006 0.06%
2025-03-13 007716 嘉實致華純債債券A 1.0477 1.1730 1.0472 1.1725 0.0005 0.05%
2025-03-12 007716 嘉實致華純債債券A 1.0472 1.1725 1.0451 1.1704 0.0021 0.20%
2025-03-11 007716 嘉實致華純債債券A 1.0451 1.1704 1.0483 1.1736 -0.0032 -0.31%
2025-03-10 007716 嘉實致華純債債券A 1.0483 1.1736 1.0491 1.1744 -0.0008 -0.08%
2025-03-07 007716 嘉實致華純債債券A 1.0491 1.1744 1.0526 1.1779 -0.0035 -0.33%
2025-03-06 007716 嘉實致華純債債券A 1.0526 1.1779 1.0543 1.1796 -0.0017 -0.16%
2025-03-05 007716 嘉實致華純債債券A 1.0543 1.1796 1.0541 1.1794 0.0002 0.02%
2025-03-04 007716 嘉實致華純債債券A 1.0541 1.1794 1.0543 1.1796 -0.0002 -0.02%
2025-03-03 007716 嘉實致華純債債券A 1.0543 1.1796 1.0529 1.1782 0.0014 0.13%
2025-02-28 007716 嘉實致華純債債券A 1.0529 1.1782 1.0522 1.1775 0.0007 0.07%
2025-02-27 007716 嘉實致華純債債券A 1.0522 1.1775 1.0536 1.1789 -0.0014 -0.13%
2025-02-26 007716 嘉實致華純債債券A 1.0536 1.1789 1.0533 1.1786 0.0003 0.03%
2025-02-25 007716 嘉實致華純債債券A 1.0533 1.1786 1.0528 1.1781 0.0005 0.05%
2025-02-24 007716 嘉實致華純債債券A 1.0528 1.1781 1.0557 1.1810 -0.0029 -0.27%
債券型-長債基金漲幅榜
基金名稱 單位凈值 日增長率
金信民富債券C 1.0492 0.36%
恒生前海福瑞30天持有期債券A 1.0003 0.11%
恒生前海福瑞30天持有期債券C 1.0001 0.10%
中海純債C 1.1420 0.09%
博時裕乾純債債券E 1.2027 0.09%
博時裕順純債債券C 1.3104 0.08%
北信穩(wěn)定A 1.3220 0.08%
博時裕順純債債券A 1.3095 0.08%
平安惠盈C 1.2220 0.08%
金鷹添裕純債債券A 1.0765 0.07%