中信保诚安鑫回报债券C
基金代码:009731
近一年收益率
8.59%
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中信保诚多策略混合(LOF)C
基金代码:018561
近一年收益率
66.70%
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净值查询
  • 热销产品
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  • 混合型
  • 指数型
  • 债券型
  • 现金管理
  • QDII
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基金简称 基金代码 日期 万份收益(元) 七日年化收益率 操作
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚全球商品主题(QDII-FOF-LOF)A165513 165513 2025-07-10 0.8597 2025-07-10 0.8597 0.23% 19.60% 17.33% 产品详情
中信保诚景气优选混合C020152 020152 2025-07-11 1.6662 2025-07-11 1.6662 0.04% 39.82% 67.02% 产品详情
中信保诚中证智能家居指数(LOF)C013084 013084 2025-07-11 0.9721 2025-07-11 0.9721 0.61% 9.92% 38.52% 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚量化阿尔法股票A004716 004716 2025-07-11 1.6570 2025-07-11 1.7379 0.25% 7.88% 16.57% 产品详情
中信保诚量化阿尔法股票C011295 011295 2025-07-11 0.9604 2025-07-11 0.9604 0.25% 7.67% 16.10% 产品详情
中信保诚国企红利量化股票A020768 020768 2025-07-11 1.1204 2025-07-11 1.1204 -0.44% 8.92% 13.47% 产品详情
中信保诚国企红利量化股票C020769 020769 2025-07-11 1.1115 2025-07-11 1.1115 -0.44% 8.61% 12.79% 产品详情
中信保诚红利领航量化股票A021983 021983 2025-07-11 1.0351 2025-07-11 1.0351 -0.39% 4.97% -- 产品详情
中信保诚红利领航量化股票C021984 021984 2025-07-11 1.0310 2025-07-11 1.0310 -0.40% 4.66% -- 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚四季红混合A550001 550001 2025-07-11 0.9118 2025-07-11 2.8122 -0.30% 7.54% 1.71% 产品详情
中信保诚四季红混合C018932 018932 2025-07-11 0.9012 2025-07-11 0.9012 -0.30% 7.21% 1.10% 产品详情
中信保诚精萃成长混合A550002 550002 2025-07-11 0.7756 2025-07-11 3.7901 -0.06% 9.59% 19.65% 产品详情
中信保诚精萃成长混合C016254 016254 2025-07-11 0.7619 2025-07-11 0.7619 -0.07% 9.26% 18.94% 产品详情
中信保诚盛世蓝筹550003 550003 2025-07-11 1.2335 2025-07-11 3.6912 0.18% 6.34% 3.68% 产品详情
中信保诚优胜精选混合A550008 550008 2025-07-11 1.3408 2025-07-11 2.7547 0.22% 4.28% 6.32% 产品详情
中信保诚优胜精选混合C016255 016255 2025-07-11 1.3218 2025-07-11 1.5503 0.23% 3.97% 5.67% 产品详情
中信保诚深度价值混合(LOF)165508 165508 2025-07-11 1.9916 2025-07-11 2.4756 0.01% 6.76% 4.31% 产品详情
中信保诚中小盘混合A550009 550009 2025-07-11 3.2255 2025-07-11 4.1215 -0.44% 10.54% 22.24% 产品详情
中信保诚中小盘混合C016256 016256 2025-07-11 3.1655 2025-07-11 3.9275 -0.44% 10.22% 21.53% 产品详情
中信保诚新机遇混合(LOF)165512 165512 2025-07-11 1.2767 2025-07-11 2.8660 -0.18% 5.43% 4.95% 产品详情
中信保诚周期轮动混合(LOF)A165516 165516 2025-07-11 4.9480 2025-07-11 6.0870 -0.43% 11.10% 20.99% 产品详情
中信保诚周期轮动混合(LOF)C014335 014335 2025-07-11 4.8452 2025-07-11 4.8452 -0.44% 10.76% 20.27% 产品详情
中信保诚至远动力混合A550015 550015 2025-07-11 2.3321 2025-07-11 2.3321 0.33% 14.24% 23.54% 产品详情
中信保诚至远动力混合C550016 550016 2025-07-11 3.2796 2025-07-11 3.2796 0.33% 14.05% 23.11% 产品详情
中信保诚至远动力混合E014677 014677 2025-07-11 2.2841 2025-07-11 2.2841 0.33% 13.90% 22.80% 产品详情
中信保诚新兴产业混合A000209 000209 2025-07-11 2.1770 2025-07-11 2.1770 -0.48% 8.42% 11.93% 产品详情
中信保诚新兴产业混合C013526 013526 2025-07-11 2.1274 2025-07-11 2.1274 -0.48% 8.10% 11.27% 产品详情
中信保诚幸福消费混合A000551 000551 2025-07-11 1.4668 2025-07-11 2.2238 0.18% 11.48% 8.97% 产品详情
中信保诚幸福消费混合C022590 022590 2025-07-11 1.4613 2025-07-11 1.4613 0.19% 11.18% -- 产品详情
中信保诚新选混合A001402 001402 2025-07-11 1.276 2025-07-11 1.276 -0.16% 7.14% -2.82% 产品详情
中信保诚新选混合B002030 002030 2025-07-11 1.253 2025-07-11 1.253 -0.16% 7.19% -2.79% 产品详情
中信保诚新锐混合A001415 001415 2025-07-11 1.0841 2025-07-11 1.2048 0.30% 4.24% 6.49% 产品详情
中信保诚新锐混合B002046 002046 2025-07-11 1.1701 2025-07-11 1.3291 0.29% 4.10% 6.37% 产品详情
中信保诚新旺A165526 165526 2025-07-11 1.579 2025-07-11 1.614 -0.06% 0.25% 2.27% 产品详情
中信保诚新旺C165527 165527 2025-07-11 1.500 2025-07-11 1.533 -0.07% 0.20% 2.11% 产品详情
中信保诚鼎利混合(LOF)A165528 165528 2025-07-11 1.1177 2025-07-11 1.1177 -0.36% -4.24% -1.51% 产品详情
中信保诚鼎利混合(LOF)C015937 015937 2025-07-11 1.0972 2025-07-11 1.0972 -0.36% -4.53% -2.11% 产品详情
中信保诚至利混合A003234 003234 2025-07-11 1.0582 2025-07-11 1.0932 0.80% -8.61% -6.14% 产品详情
中信保诚至利混合C003235 003235 2025-07-11 1.0519 2025-07-11 1.0869 0.80% -8.66% -6.24% 产品详情
中信保诚至选混合A003379 003379 2025-07-11 1.1731 2025-07-11 1.5691 -0.03% 2.55% 6.96% 产品详情
中信保诚至选混合C003380 003380 2025-07-11 1.1676 2025-07-11 1.5606 -0.03% 2.50% 6.84% 产品详情
中信保诚至选混合E022006 022006 2025-07-11 1.1690 2025-07-11 1.1690 -0.03% 2.35% -- 产品详情
中信保诚至裕混合A003282 003282 2025-07-11 1.4257 2025-07-11 1.4257 0.00% 1.31% 2.70% 产品详情
中信保诚至裕混合C003283 003283 2025-07-11 1.2778 2025-07-11 1.2778 -0.01% 1.25% 2.59% 产品详情
中信保诚至瑞混合A003432 003432 2025-07-11 1.5641 2025-07-11 1.6501 0.46% 3.77% 6.62% 产品详情
中信保诚至瑞混合C003433 003433 2025-07-11 1.5495 2025-07-11 1.6355 0.45% 3.71% 6.50% 产品详情
中信保诚新悦混合A004153 004153 2025-07-11 1.590 2025-07-11 1.743 0.06% 1.66% 1.08% 产品详情
中信保诚新悦混合B004154 004154 2025-07-11 1.557 2025-07-11 1.710 0.06% 1.57% 0.97% 产品详情
中信保诚至诚混合A004157 004157 2025-07-11 1.009 2025-07-11 1.169 0.10% 0.00% -3.17% 产品详情
中信保诚至诚混合B004158 004158 2025-07-11 1.012 2025-07-11 1.174 0.00% -0.20% -3.53% 产品详情
中信保诚新泽混合A001596 001596 2025-07-11 1.515 2025-07-11 1.610 0.00% 0.07% -1.50% 产品详情
中信保诚新泽混合B002177 002177 2025-07-11 1.438 2025-07-11 1.531 0.00% 0.07% -1.57% 产品详情
中信保诚多策略混合(LOF)A165531 165531 2025-07-11 2.0338 2025-07-11 2.1395 0.05% 38.31% 67.68% 产品详情
中信保诚多策略混合(LOF)C018561 018561 2025-07-11 2.0087 2025-07-11 2.0087 0.05% 37.90% 66.70% 产品详情
中信保诚至兴A005977 005977 2025-07-11 1.5620 2025-07-11 1.5620 0.01% 8.87% 20.39% 产品详情
中信保诚至兴C005978 005978 2025-07-11 1.4743 2025-07-11 1.4743 0.01% 8.44% 19.44% 产品详情
中信保诚新蓝筹006209 006209 2025-07-11 1.7228 2025-07-11 1.7228 -0.19% 6.83% -0.73% 产品详情
中信保诚创新成长混合A006392 006392 2025-07-11 2.6023 2025-07-11 2.6023 0.04% 7.43% 18.14% 产品详情
中信保诚创新成长混合C016258 016258 2025-07-11 2.5565 2025-07-11 2.5565 0.04% 7.11% 17.43% 产品详情
中信保诚红利精选A008091 008091 2025-07-11 1.6371 2025-07-11 1.6371 -0.38% 6.02% 11.54% 产品详情
中信保诚红利精选C008092 008092 2025-07-11 1.6013 2025-07-11 1.6013 -0.39% 5.82% 11.09% 产品详情
中信保诚成长动力混合A009913 009913 2025-07-11 1.0154 2025-07-11 1.1700 -0.36% -7.42% -4.04% 产品详情
中信保诚成长动力混合C014282 014282 2025-07-11 1.0071 2025-07-11 1.1475 -0.38% -7.63% -4.55% 产品详情
中信保诚丰裕一年持有期A011525 011525 2025-07-11 0.9879 2025-07-11 0.9879 -0.05% 1.43% 3.17% 产品详情
中信保诚丰裕一年持有期C011526 011526 2025-07-11 0.9708 2025-07-11 0.9708 -0.05% 1.22% 2.76% 产品详情
中信保诚龙腾精选011284 011284 2025-07-11 0.7072 2025-07-11 0.7072 0.30% 9.61% 5.68% 产品详情
中信保诚盛裕一年持有期A011713 011713 2025-07-11 0.9422 2025-07-11 0.9422 -0.05% 0.75% 0.04% 产品详情
中信保诚盛裕一年持有期C011714 011714 2025-07-11 0.9270 2025-07-11 0.9270 -0.05% 0.55% -0.37% 产品详情
中信保诚弘远混合A013141 013141 2025-07-11 0.9257 2025-07-11 0.9257 0.03% 7.83% 4.88% 产品详情
中信保诚弘远混合C015936 015936 2025-07-11 0.9091 2025-07-11 0.9091 0.03% 7.51% 4.27% 产品详情
中信保诚前瞻优势混合013610 013610 2025-07-11 0.8266 2025-07-11 0.8266 0.15% 7.80% 16.00% 产品详情
中信保诚远见成长混合A018618 018618 2025-07-11 0.9723 2025-07-11 0.9723 0.43% 10.55% 14.78% 产品详情
中信保诚远见成长混合C018619 018619 2025-07-11 0.9604 2025-07-11 0.9604 0.43% 10.21% 14.09% 产品详情
中信保诚先进制造混合A019219 019219 2025-07-11 1.3015 2025-07-11 1.3015 0.11% 14.70% 29.25% 产品详情
中信保诚先进制造混合C019220 019220 2025-07-11 1.2875 2025-07-11 1.2875 0.10% 14.35% 28.47% 产品详情
中信保诚瑞丰6个月混合A019349 019349 2025-07-11 1.0665 2025-07-11 1.0665 0.08% 1.35% 4.67% 产品详情
中信保诚瑞丰6个月混合C019350 019350 2025-07-11 1.0596 2025-07-11 1.0596 0.07% 1.15% 4.26% 产品详情
中信保诚景气优选混合A020151 020151 2025-07-11 1.6802 2025-07-11 1.6802 0.04% 40.23% 68.02% 产品详情
中信保诚景气优选混合C020152 020152 2025-07-11 1.6662 2025-07-11 1.6662 0.04% 39.82% 67.02% 产品详情
中信保诚周期优选混合A022269 022269 2025-07-11 0.9996 2025-07-11 0.9996 -0.14% 5.30% -- 产品详情
中信保诚周期优选混合C022270 022270 2025-07-11 0.9955 2025-07-11 0.9955 -0.14% 4.99% -- 产品详情
中信保诚中证同业存单AAA指数7天持有023666 023666 2025-07-11 1.0007 2025-07-11 1.0007 0.02% -- -- 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚中证500指数(LOF)A165511 165511 2025-07-11 1.6868 2025-07-11 2.0481 0.69% 12.03% 20.78% 产品详情
中信保诚中证500指数(LOF)C013119 013119 2025-07-11 1.6599 2025-07-11 1.6599 0.69% 11.80% 20.29% 产品详情
中信保诚沪深300指数(LOF)A165515 165515 2025-07-11 1.0901 2025-07-11 1.7115 0.24% 8.49% 14.88% 产品详情
中信保诚沪深300指数(LOF)C013120 013120 2025-07-11 1.0734 2025-07-11 1.0734 0.24% 8.27% 14.42% 产品详情
中信保诚中证800医药指数(LOF)A165519 165519 2025-07-11 0.9812 2025-07-11 1.6862 1.43% 18.32% 25.49% 产品详情
中信保诚中证800医药指数(LOF)E023592 023592 2025-07-11 0.9813 2025-07-11 0.9813 1.42% -- -- 产品详情
中信保诚中证800医药指数(LOF)C013080 013080 2025-07-11 0.9663 2025-07-11 0.9663 1.43% 18.09% 24.99% 产品详情
中信保诚中证800有色指数(LOF)A165520 165520 2025-07-11 1.7620 2025-07-11 1.7015 1.73% 16.07% 11.94% 产品详情
中信保诚中证800有色指数(LOF)E023593 023593 2025-07-11 1.7622 2025-07-11 1.7622 1.73% -- -- 产品详情
中信保诚中证800有色指数(LOF)C013081 013081 2025-07-11 1.7353 2025-07-11 1.7353 1.74% 15.84% 11.49% 产品详情
中信保诚中证800金融指数(LOF)A165521 165521 2025-07-11 1.3594 2025-07-11 2.1114 -0.04% 17.29% 36.61% 产品详情
中信保诚中证800金融指数(LOF)C013121 013121 2025-07-11 1.3385 2025-07-11 1.3385 -0.04% 17.05% 36.07% 产品详情
中信保诚中证TMT指数(LOF)A165522 165522 2025-07-11 0.8586 2025-07-11 1.5866 0.56% 11.29% 29.27% 产品详情
中信保诚中证TMT指数(LOF)C013122 013122 2025-07-11 0.8457 2025-07-11 0.8457 0.57% 11.07% 28.76% 产品详情
中信保诚中证信息安全指数(LOF)A165523 165523 2025-07-11 0.7883 2025-07-11 0.5635 1.19% 16.68% 40.79% 产品详情
中信保诚中证信息安全指数(LOF)C013083 013083 2025-07-11 0.7764 2025-07-11 0.7764 1.19% 16.45% 40.25% 产品详情
中信保诚中证信息安全指数(LOF)E023594 023594 2025-07-11 0.7882 2025-07-11 0.7882 1.19% -- -- 产品详情
中信保诚中证智能家居指数(LOF)A165524 165524 2025-07-11 0.9871 2025-07-11 0.6497 0.61% 10.13% 39.07% 产品详情
中信保诚中证智能家居指数(LOF)E023595 023595 2025-07-11 0.9871 2025-07-11 0.9871 0.61% -- -- 产品详情
中信保诚中证智能家居指数(LOF)C013084 013084 2025-07-11 0.9721 2025-07-11 0.9721 0.61% 9.92% 38.52% 产品详情
中信保诚中证基建工程指数(LOF)A165525 165525 2025-07-11 0.7256 2025-07-11 0.7336 0.00% 6.24% 8.48% 产品详情
中信保诚中证基建工程指数(LOF)E023596 023596 2025-07-11 0.7256 2025-07-11 0.7256 0.00% -- -- 产品详情
中信保诚中证基建工程指数(LOF)C013082 013082 2025-07-11 0.7145 2025-07-11 0.7145 -0.01% 6.01% 8.04% 产品详情
中信保诚沪深300指数增强A020160 020160 2025-07-11 1.2350 2025-07-11 1.2350 0.26% 9.60% 17.88% 产品详情
中信保诚沪深300指数增强C020161 020161 2025-07-11 1.2271 2025-07-11 1.2271 0.26% 9.38% 17.40% 产品详情
中信保诚中证500指数增强A021185 021185 2025-07-11 1.3407 2025-07-11 1.3407 0.68% 14.01% 34.49% 产品详情
中信保诚中证500指数增强C021186 021186 2025-07-11 1.3351 2025-07-11 1.3351 0.67% 13.78% 33.94% 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚三得益债券A550004 550004 2025-07-11 1.1932 2025-07-11 1.8790 0.07% 1.64% 2.07% 产品详情
中信保诚三得益债券B550005 550005 2025-07-11 1.1692 2025-07-11 1.7930 0.06% 1.63% 2.05% 产品详情
中信保诚增强收益债券(LOF)A165509 165509 2025-07-11 1.1501 2025-07-11 2.0754 0.10% 3.80% 7.55% 产品详情
中信保诚增强收益债券(LOF)C022251 022251 2025-07-11 1.1520 2025-07-11 1.1520 0.10% 3.59% -- 产品详情
中信保诚双盈债券(LOF)A165517 165517 2025-07-11 0.9950 2025-07-11 1.3950 0.02% 1.87% 3.40% 产品详情
中信保诚双盈债券(LOF)C023611 023611 2025-07-11 0.9953 2025-07-11 0.9953 0.02% -- -- 产品详情
中信保诚双盈债券(LOF)D020962 020962 2025-07-11 0.9949 2025-07-11 0.9949 0.02% 1.87% 3.39% 产品详情
中信保诚景华A550012 550012 2025-07-11 1.0788 2025-07-11 1.1852 -0.03% 0.91% 4.14% 产品详情
中信保诚景华C550013 550013 2025-07-11 1.0833 2025-07-11 1.3451 -0.03% 0.86% 3.96% 产品详情
中信保诚景华D020963 020963 2025-07-11 1.0776 2025-07-11 1.1042 -0.03% 0.91% 4.02% 产品详情
中信保诚优质纯债债券A550018 550018 2025-07-11 1.1176 2025-07-11 1.7196 0.00% 1.82% 1.90% 产品详情
中信保诚优质纯债债券B550019 550019 2025-07-11 1.0947 2025-07-11 1.6447 0.00% 1.62% 1.49% 产品详情
中信保诚优质纯债债券C017463 017463 2025-07-11 1.1144 2025-07-11 1.2594 0.00% 1.82% 1.84% 产品详情
中信保诚优质纯债债券D023688 023688 2025-07-11 1.1175 2025-07-11 1.1175 0.00% -- -- 产品详情
中信保诚优质纯债债券I020414 020414 2025-07-11 1.1179 2025-07-11 1.2289 0.00% 1.82% 1.89% 产品详情
中信保诚稳利A003121 003121 2025-07-11 1.0769 2025-07-11 1.2803 -0.01% 0.90% 2.85% 产品详情
中信保诚稳利C003130 003130 2025-07-11 1.0797 2025-07-11 1.2821 -0.02% 0.85% 2.74% 产品详情
中信保诚稳利D023690 023690 2025-07-11 1.0768 2025-07-11 1.0828 -0.01% -- -- 产品详情
中信保诚稳健债券A003226 003226 2025-07-11 1.0329 2025-07-11 1.3320 -0.02% 0.73% 2.45% 产品详情
中信保诚稳健债券C003227 003227 2025-07-11 1.0321 2025-07-11 1.3302 -0.02% 0.67% 2.35% 产品详情
中信保诚稳健债券D022994 022994 2025-07-11 1.0329 2025-07-11 1.0329 -0.02% 0.73% -- 产品详情
中信保诚惠泽18个月定开债券A165530 165530 2025-07-11 1.0393 2025-07-11 1.3461 0.02% 1.14% 2.74% 产品详情
中信保诚惠泽18个月定开债券D022713 022713 2025-07-11 1.0394 2025-07-11 1.0394 0.03% 1.14% -- 产品详情
中信保诚惠泽18个月定开债券C022712 022712 2025-07-11 1.0369 2025-07-11 1.0369 0.02% 0.93% -- 产品详情
中信保诚稳瑞债券A003277 003277 2025-07-11 1.0964 2025-07-11 1.2691 -0.01% 0.55% 2.10% 产品详情
中信保诚稳瑞债券C003278 003278 2025-07-11 1.0922 2025-07-11 1.2663 -0.01% 0.49% 1.94% 产品详情
中信保诚稳瑞债券D022993 022993 2025-07-11 1.0966 2025-07-11 1.0966 -0.01% 0.57% -- 产品详情
中信保诚稳益A003287 003287 2025-07-11 1.0790 2025-07-11 1.2820 -0.02% 0.82% 2.71% 产品详情
中信保诚稳益C003288 003288 2025-07-11 1.0753 2025-07-11 1.2760 -0.01% 0.78% 2.63% 产品详情
中信保诚稳益D023691 023691 2025-07-11 1.0788 2025-07-11 1.0848 -0.01% -- -- 产品详情
中信保诚景瑞债券A003614 003614 2025-07-11 1.0838 2025-07-11 1.3307 -0.03% 0.26% 4.61% 产品详情
中信保诚景瑞债券C003615 003615 2025-07-11 1.0793 2025-07-11 1.3158 -0.03% 0.22% 4.39% 产品详情
中信保诚景瑞债券D020556 020556 2025-07-11 1.0825 2025-07-11 1.0825 -0.03% 0.25% -- 产品详情
中信保诚稳泰债券A004108 004108 2025-07-11 1.0310 2025-07-11 1.3258 -0.01% 0.81% 4.34% 产品详情
中信保诚稳泰债券C004109 004109 2025-07-11 1.0457 2025-07-11 1.3185 -0.01% 0.76% 4.24% 产品详情
中信保诚稳泰债券D020413 020413 2025-07-11 1.0309 2025-07-11 1.0886 -0.01% 0.80% 4.34% 产品详情
中信保诚稳悦债券A004102 004102 2025-07-11 1.0476 2025-07-11 1.3046 -0.04% 1.31% 4.06% 产品详情
中信保诚稳悦债券C004103 004103 2025-07-11 1.0467 2025-07-11 1.3007 -0.03% 1.26% 3.99% 产品详情
中信保诚稳悦债券D021266 021266 2025-07-11 1.0483 2025-07-11 1.0483 -0.03% 1.29% -- 产品详情
中信保诚稳丰A004106 004106 2025-07-11 1.0835 2025-07-11 1.3161 -0.02% 0.88% 2.83% 产品详情
中信保诚稳丰C004107 004107 2025-07-11 1.0793 2025-07-11 1.3085 -0.02% 0.82% 2.72% 产品详情
中信保诚稳丰D023689 023689 2025-07-11 1.0833 2025-07-11 1.0893 -0.02% -- -- 产品详情
中信保诚稳鑫债券A004104 004104 2025-07-11 1.1657 2025-07-11 1.3967 -0.03% 0.85% 6.84% 产品详情
中信保诚稳鑫债券C004105 004105 2025-07-11 1.1668 2025-07-11 1.3983 -0.03% 0.79% 6.71% 产品详情
中信保诚稳鑫债券D020504 020504 2025-07-11 1.1661 2025-07-11 1.1661 -0.03% 0.91% -- 产品详情
中信保诚至泰中短债A004155 004155 2025-07-11 1.2456 2025-07-11 1.2456 -0.02% 0.96% 2.71% 产品详情
中信保诚至泰中短债C004156 004156 2025-07-11 1.3073 2025-07-11 1.3073 -0.02% 0.90% 2.60% 产品详情
中信保诚至泰中短债D024508 024508 2025-07-11 1.2456 2025-07-11 1.2456 -0.02% -- -- 产品详情
中信保诚至泰中短债E021529 021529 2025-07-11 1.2415 2025-07-11 1.2415 -0.02% 0.80% 2.41% 产品详情
中信保诚嘉鸿A000134 000134 2025-07-11 1.0099 2025-07-11 1.1660 -0.02% 0.92% 2.43% 产品详情
中信保诚嘉鸿C000135 000135 2025-07-11 1.0000 2025-07-11 1.0000 0.00% 0.00% 0.00% 产品详情
中信保诚嘉鑫005617 005617 2025-07-11 1.0430 2025-07-11 1.3012 -0.02% 0.86% 2.66% 产品详情
中信保诚稳鸿A006011 006011 2025-07-11 4.9665 2025-07-11 8.0037 -0.02% 0.42% 1.87% 产品详情
中信保诚稳鸿C006012 006012 2025-07-11 1.0627 2025-07-11 1.2078 -0.02% 0.37% 1.77% 产品详情
中信保诚稳鸿E021521 021521 2025-07-11 4.9490 2025-07-11 5.3145 -0.02% 0.26% 1.55% 产品详情
中信保诚稳鸿D020927 020927 2025-07-11 4.9682 2025-07-11 5.3346 -0.02% 0.41% -- 产品详情
中信保诚稳达A006177 006177 2025-07-11 1.1320 2025-07-11 1.3186 -0.04% 2.10% 5.81% 产品详情
中信保诚稳达C006178 006178 2025-07-11 1.1288 2025-07-11 1.2787 -0.04% 2.10% 5.77% 产品详情
中信保诚稳达E019881 019881 2025-07-11 1.1274 2025-07-11 1.1274 -0.04% 2.01% 5.55% 产品详情
中信保诚景丰A006789 006789 2025-07-11 1.0495 2025-07-11 1.2334 0.00% 0.96% 3.75% 产品详情
中信保诚景丰C006790 006790 2025-07-11 1.0696 2025-07-11 1.2305 0.00% 0.90% 3.62% 产品详情
中信保诚景丰D021264 021264 2025-07-11 1.0514 2025-07-11 1.0514 0.00% 0.94% 3.94% 产品详情
中信保诚嘉裕五年定开纯债008429 008429 2025-07-11 1.0237 2025-07-11 1.1681 0.01% 0.77% 1.91% 产品详情
中信保诚嘉丰一年定开纯债009081 009081 2025-07-11 1.0468 2025-07-11 1.1536 0.01% 0.42% 3.59% 产品详情
中信保诚安鑫回报债券A009730 009730 2025-07-11 1.1320 2025-07-11 1.1320 -0.02% 3.72% 9.02% 产品详情
中信保诚安鑫回报债券C009731 009731 2025-07-11 1.1097 2025-07-11 1.1097 -0.02% 3.53% 8.59% 产品详情
中信保诚安鑫回报债券E023600 023600 2025-07-11 1.1315 2025-07-11 1.1315 -0.02% -- -- 产品详情
中信保诚安鑫回报债券D023599 023599 2025-07-11 1.1319 2025-07-11 1.1319 -0.02% -- -- 产品详情
中信保诚嘉润66个月定开纯债010462 010462 2025-07-11 1.0823 2025-07-11 1.1863 0.07% 1.95% 4.04% 产品详情
中信保诚嘉盛三个月定开债券A019262 019262 2025-07-11 1.0117 2025-07-11 1.0557 -0.05% 0.90% 3.23% 产品详情
中信保诚嘉盛三个月定开债券C019263 019263 2025-07-11 1.0116 2025-07-11 1.0541 -0.04% 0.86% 3.14% 产品详情
中信保诚中债0-2年政金债指数A020165 020165 2025-07-11 1.0276 2025-07-11 1.0406 0.00% 0.80% 2.50% 产品详情
中信保诚中债0-2年政金债指数C020164 020164 2025-07-11 1.0381 2025-07-11 1.0391 0.00% 0.73% 2.38% 产品详情
中信保诚60天持有债券A021338 021338 2025-07-11 1.0340 2025-07-11 1.0340 -0.01% 0.90% 3.31% 产品详情
中信保诚60天持有债券C021339 021339 2025-07-11 1.0318 2025-07-11 1.0318 0.00% 0.81% 3.10% 产品详情
中信保诚中债0-3年政金债指数A021353 021353 2025-07-11 1.0083 2025-07-11 1.0271 -0.01% 0.50% 2.52% 产品详情
中信保诚中债0-3年政金债指数C021354 021354 2025-07-11 1.0095 2025-07-11 1.0283 -0.01% 0.69% 2.66% 产品详情
中信保诚90天持有债券A022209 022209 2025-07-11 1.0152 2025-07-11 1.0152 0.00% 1.06% -- 产品详情
中信保诚90天持有债券C022210 022210 2025-07-11 1.0130 2025-07-11 1.0130 0.00% 0.90% -- 产品详情
中信保诚乾元30天持有债券A022213 022213 2025-07-11 1.0143 2025-07-11 1.0143 -0.01% 1.26% -- 产品详情
中信保诚乾元30天持有债券C022214 022214 2025-07-11 1.0131 2025-07-11 1.0131 -0.01% 1.15% -- 产品详情
中信保诚汇利债券A023994 023994 2025-07-11 1.0001 2025-07-11 1.0001 -0.01% -- -- 产品详情
中信保诚汇利债券C023995 023995 2025-07-11 0.9999 2025-07-11 0.9999 -0.01% -- -- 产品详情
基金简称 基金代码 日期 万份收益(元) 七日年化收益率 操作
中信保诚货币A550010 550010 2025-07-12 0.3080 2025-07-12 1.263% 产品详情
中信保诚货币B550011 550011 2025-07-12 0.3738 2025-07-12 1.504% 产品详情
中信保诚货币C023011 023011 2025-07-12 0.3738 2025-07-12 1.505% 产品详情
中信保诚货币E004849 004849 2025-07-12 0.3080 2025-07-12 1.260% 产品详情
中信保诚薪金宝货币A000599 000599 2025-07-12 0.2526 2025-07-12 1.025% 产品详情
中信保诚薪金宝货币E017203 017203 2025-07-12 0.3074 2025-07-12 1.229% 产品详情
中信保诚智惠金货币A005020 005020 2025-07-12 0.3241 2025-07-12 1.324% 产品详情
中信保诚智惠金货币C010883 010883 2025-07-12 0.3624 2025-07-12 1.468% 产品详情
中信保诚智惠金货币E018299 018299 2025-07-12 0.2967 2025-07-12 1.223% 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
中信保诚全球商品主题(QDII-FOF-LOF)A165513 165513 2025-07-10 0.8597 2025-07-10 0.8597 0.23% 19.60% 17.33% 产品详情
中信保诚全球商品主题(QDII-FOF-LOF)C020969 020969 2025-07-10 0.8342 2025-07-10 0.8342 0.23% -- -- 产品详情
基金简称 基金代码 净值日期 单位净值(元) 累计净值(元) 日涨跌 近六月 近一年 操作
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