嘉实致泰一年定开纯债债券发起式(017129)财务指标
|
2024-12-31 |
2024-06-30 |
2023-12-31 |
2023-06-30 |
本期已实现收益 |
161,396,435.28 |
68,548,569.10 |
191,643,136.04 |
94,885,551.12 |
本期利润 |
290,043,246.51 |
161,103,989.13 |
235,425,476.16 |
151,230,513.82 |
加权平均基金份额本期利润 |
0.05 |
0.03 |
0.04 |
0.03 |
本期加权平均净值利润率(%) |
4.68 |
2.60 |
3.88 |
2.50 |
本期基金份额净值增长率(%) |
4.78 |
2.64 |
3.95 |
2.53 |
期末可供分配利润 |
129,945,960.61 |
182,298,070.23 |
113,749,501.13 |
109,391,900.81 |
期末可供分配基金份额利润 |
0.02 |
0.03 |
0.02 |
0.02 |
期末基金资产净值 |
6,263,087,615.54 |
6,279,348,333.96 |
6,118,244,344.83 |
6,126,449,367.09 |
期末基金份额净值 |
1.04 |
1.05 |
1.02 |
1.02 |
基金份额累计净值增长率(%) |
8.48 |
6.26 |
3.53 |
2.11 |