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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏大中华信用债券(QDII)A(美元现钞)(002879)

     0.00000.0000%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2024-09-3010,573.71-173.66-27,217.24
2024-06-3010,747.3725.56-27,043.58
2024-03-3110,721.81947.74-27,069.14
2023-12-319,774.07-946.44-28,016.88
2023-09-3010,720.51-2,856.53-27,070.44
2023-06-3013,577.04-6,966.24-24,213.91
2023-03-3120,543.2810,769.46-17,247.67
2022-12-319,773.82655.95-28,017.13
2022-09-309,117.871,527.76-28,673.08
2022-06-307,590.11-162.38-30,200.84
2022-03-317,752.49257.51-30,038.46
2021-12-317,494.9855.18-30,295.97
2021-09-307,439.80-1,066.48-30,351.15
2021-06-308,506.28-614.99-29,284.67
2021-03-319,121.27-1,748.88-28,669.68
2020-12-3110,870.15-2,253.11-26,920.80
2020-09-3013,123.26-22,793.98-24,667.69
2020-06-3035,917.24-3,138.56-1,873.71
2020-03-3139,055.8027,640.961,264.85
2019-12-3111,414.84-306.84-26,376.11
2019-09-3011,721.68-3,089.09-26,069.27
2019-06-3014,810.77-1,727.79-22,980.18
2019-03-3116,538.56-10,176.68-21,252.39
2018-12-3126,715.24-3,332.94-11,075.71
2018-09-3030,048.18-3,085.44-7,742.77
2018-06-3033,133.62-5,658.35-4,657.33
2018-03-3138,791.97-10,025.291,001.02
2017-12-3148,817.26-11,730.2211,026.31
2017-09-3060,547.48-14,049.6122,756.53
2017-06-3074,597.09-20,806.1536,806.14
2017-03-3195,403.24-37,472.3657,612.29
2016-12-31132,875.60-44,710.4095,084.65
2016-09-30177,586.00139,795.05139,795.05
2016-07-2737,790.95----