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基金费率

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基金概况

财务数据

南方亚洲美元收益债券(QDII)C(美元现汇)(002403)

2024-11-21     0.13460.0743%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2024-09-30100,056.5726,558.1496,156.39
2024-06-3073,498.43-9,367.2469,598.25
2024-03-3182,865.67-2,802.2578,965.49
2023-12-3185,667.92-15,541.7881,767.74
2023-09-30101,209.70-10,686.9297,309.52
2023-06-30111,896.6293,836.37107,996.44
2023-03-3118,060.254,715.5814,160.07
2022-12-3113,344.67-1,832.099,444.49
2022-09-3015,176.762,344.8911,276.58
2022-06-3012,831.8720.248,931.69
2022-03-3112,811.63-5,011.028,911.45
2021-12-3117,822.653,137.3913,922.47
2021-09-3014,685.26-990.9110,785.08
2021-06-3015,676.17-1,031.6611,775.99
2021-03-3116,707.83-1,871.7412,807.65
2020-12-3118,579.57-1,680.2414,679.39
2020-09-3020,259.81-2,349.2916,359.63
2020-06-3022,609.10-1,482.5618,708.92
2020-03-3124,091.66-7,105.0020,191.48
2019-12-3131,196.66-2,177.4327,296.48
2019-09-3033,374.09-2,418.2029,473.91
2019-06-3035,792.29-2,652.7631,892.11
2019-03-3138,445.05-4,266.2434,544.87
2018-12-3142,711.29-7,239.7638,811.11
2018-09-3049,951.05-7,626.6146,050.87
2018-06-3057,577.66-10,557.8053,677.48
2018-03-3168,135.46-16,425.3664,235.28
2017-12-3184,560.82-10,752.7880,660.64
2017-09-3095,313.60-3,626.8691,413.42
2017-06-3098,940.4627,057.3095,040.28
2017-03-3171,883.1611,983.5167,982.98
2016-12-3159,899.6534,972.4055,999.47
2016-09-3024,927.2513,147.3621,027.07
2016-06-3011,779.897,879.717,879.71
2016-03-033,900.18----