名称 | 净值 | 日增长率 |
以下为热门基金 | ||
名称 | 净值 | 日增长率 |
华泰紫金恒生互联网科技业指数型发起基金(QDII)C | 0.8218 | 2.84% |
华泰紫金恒生互联网科技业指数型发起基金(QDII)A | 0.8246 | 2.84% |
华夏恒生互联网科技业ETF发起式联接(QDII)A | 0.5792 | 2.84% |
华夏恒生互联网科技业ETF发起式联接(QDII)C | 0.5743 | 2.83% |
广发中证港股通互联网指数发起式A | 0.8792 | 2.69% |
广发中证港股通互联网指数发起式C | 0.8789 | 2.68% |
易方达中证港股通互联网ETF发起式联接A | 0.9303 | 2.66% |
华宝中证港股通互联网ETF发起式联接A | 0.8029 | 2.66% |
华宝中证港股通互联网ETF发起式联接C | 0.7991 | 2.66% |
易方达中证港股通互联网ETF发起式联接C | 0.9281 | 2.65% |
名称 | 净值 | 日增长率 |
嘉实稳泰债券 | 1.081 | 4.14% |
嘉实恒生科技ETF(… | 0.4871 | 2.46% |
嘉实全球创新龙头股票… | 0.7841 | 2.26% |
嘉实全球创新龙头股票… | 0.7878 | 2.26% |
嘉实全球创新龙头股票… | 0.78776555 | 2.22% |
名称 | 万份收益 | 7日年化 |
嘉实快线货币C | 1.1002 | 4.03% |
嘉实快线货币B | 1.0942 | 3.99% |
嘉实增益宝货币A | 0.4929 | 1.86% |
嘉实快线货币A | 0.48 | 1.84% |
嘉实货币B | 0.472 | 1.82% |
名称 | 日增长率 | 操作 |
易方达新兴成长混合 | -0.24% | |
鹏华中证国防指数(LOF)A | -1.73% | |
兴全有机增长混合 | -1.02% | |
名称 | 万份收益 | 操作 |
诺安聚鑫宝货币A | 0.4571 |
名称 | 成立以来收益 | 操作 |
嘉实多元债券B分红拆分 |
基金分红 |
分红年度 | 权益登记日 | 除息日 | 红利发放日 | 每份收益单位派息(元) |
2024 | 2024-04-18 | 2024-04-18 | 2024-04-19 | 0.0331 |
2022 | 2022-01-19 | 2022-01-19 | 2022-01-20 | 0.0225 |
2021 | 2021-07-16 | 2021-07-16 | 2021-07-19 | 0.0569 |
2021 | 2021-04-16 | 2021-04-16 | 2021-04-19 | |
2021 | 2021-01-19 | 2021-01-19 | 2021-01-20 | 0.0134 |
2020 | 2020-10-23 | 2020-10-23 | 2020-10-26 | 0.0297 |
2020 | 2020-07-15 | 2020-07-15 | 2020-07-16 | 0.0293 |
2020 | 2020-01-17 | 2020-01-17 | 2020-01-20 | 0.0201 |
2019 | 2019-10-23 | 2019-10-23 | 2019-10-24 | |
2019 | 2019-07-16 | 2019-07-16 | 2019-07-17 | 0.014 |
2019 | 2019-04-17 | 2019-04-17 | 2019-04-18 | 0.0024 |
2018 | 2018-04-19 | 2018-04-19 | 2018-04-20 | 0.0205 |
2018 | 2018-01-17 | 2018-01-17 | 2018-01-18 | 0.0107 |
2017 | 2017-10-24 | 2017-10-24 | 2017-10-25 | 0.0041 |
2017 | 2017-07-18 | 2017-07-18 | 2017-07-19 | 0.0044 |
2017 | 2017-04-19 | 2017-04-19 | 2017-04-20 | 0.0249 |
2017 | 2017-01-19 | 2017-01-19 | 2017-01-20 | 0.0075 |
2016 | 2016-10-25 | 2016-10-25 | 2016-10-26 | 0.0092 |
2016 | 2016-07-18 | 2016-07-18 | 2016-07-19 | 0.0293 |
2015 | 2015-07-16 | 2015-07-16 | 2015-07-17 | 0.0302 |
2015 | 2015-04-21 | 2015-04-21 | 2015-04-22 | 0.05 |
2015 | 2015-01-21 | 2015-01-21 | 2015-01-22 | 0.0114 |
2014 | 2014-10-27 | 2014-10-27 | 2014-10-28 | 0.012 |
2014 | 2014-07-18 | 2014-07-18 | 2014-07-21 | 0.018 |
2014 | 2014-04-18 | 2014-04-18 | 2014-04-21 | 0.012 |
2014 | 2014-01-17 | 2014-01-17 | 2014-01-20 | 0.0098 |
2013 | 2013-04-18 | 2013-04-18 | 2013-04-19 | 0.01 |
2012 | 2012-07-10 | 2012-07-10 | 2012-07-11 | 0.01 |
2012 | 2012-04-16 | 2012-04-16 | 2012-04-17 | 0.01 |
2012 | 2012-01-16 | 2012-01-16 | 2012-01-17 | 0.0187 |
2011 | 2011-01-21 | 2011-01-21 | 2011-01-24 | 0.01 |
2010 | 2010-10-15 | 2010-10-15 | 2010-10-18 | 0.021 |
2010 | 2010-07-28 | 2010-07-28 | 2010-07-29 | 0.025 |
2010 | 2010-04-08 | 2010-04-08 | 2010-04-09 | 0.033 |
2010 | 2010-01-20 | 2010-01-20 | 2010-01-21 | 0.04 |
2009 | 2009-07-07 | 2009-07-07 | 2009-07-08 | 0.01 |
2009 | 2009-04-07 | 2009-04-07 | 2009-04-08 | 0.01 |
2009 | 2009-02-25 | 2009-02-25 | 2009-02-26 | 0.006 |
2008 | 2008-12-24 | 2008-12-24 | 2008-12-25 | 0.013 |
拆分日期 | 拆分前净值 | 拆分后净值 | 拆分比例 |