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嘉实理财宝7天债券A(070035)

嘉实理财宝7天债券A(070035)基金净值

期初日期: 期末日期:

发布日期 最新万份收益 7日年化收益率
2020-12-18 0.0241  0.0880
2020-12-17 0.0245  0.0880
2020-12-16 0.0241  0.0880
2020-12-15 0.0241  0.0880
2020-12-14 0.0242  0.0880
2020-12-13 0.0242  0.0880
2020-12-12 0.0242  0.0880
2020-12-11 0.0242  0.0880
2020-12-10 0.0242  0.0880
2020-12-09 0.0242  0.0890
2020-12-08 0.0242  0.0890
2020-12-07 0.0242  0.0900
2020-12-06 0.0241  0.0910
2020-12-05 0.0241  0.0910
2020-12-04 0.0241  0.0920
2020-12-03 0.0254  0.0930
2020-12-02 0.0254  0.0930
2020-12-01 0.0254  0.0930
2020-11-30 0.0255  0.0930
2020-11-29 0.0255  0.0930
2020-11-28 0.0255  0.0930
2020-11-27 0.0255  0.0930
2020-11-26 0.0255  0.0930
2020-11-25 0.0255  0.0930
2020-11-24 0.0256  0.0930
2020-11-23 0.0255  0.0930
2020-11-22 0.0255  0.0930
2020-11-21 0.0255  0.0930
2020-11-20 0.0256  0.0930
2020-11-19 0.0256  0.0930

单位:元