首页 - 基金理财 - 历史净值
嘉实全球产业升级股票型发起式证券投资基金(QDII)
日期 单位净值 累计净值
20241018 1.6492 1.6492
20241017 1.6221 1.6221
20241016 1.5948 1.5948
20241015 1.5949 1.5949
20241014 1.6647 1.6647
20241011 1.6338 1.6338
20241010 1.6438 1.6438
20241009 1.6687 1.6687
20241008 1.6598 1.6598
20240930 1.5534 1.5534
20240927 1.5097 1.5097
20240926 1.5162 1.5162
20240925 1.4791 1.4791
20240924 1.4758 1.4758
20240923 1.4475 1.4475
20240920 1.4498 1.4498
20240919 1.4691 1.4691
20240918 1.4222 1.4222
20240913 1.4566 1.4566
20240912 1.4471 1.4471