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基金费率

投资组合

基金概况

财务数据

招商信用定开债(QDII)美元(003047)

2020-01-22     0.15700.0000%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2020-01-223,250.75-27.47-6,104.87
2019-12-313,278.22-2,540.41-6,077.40
2019-09-305,818.630.00-3,536.99
2019-06-305,818.63355.20-3,536.99
2019-03-315,463.430.00-3,892.19
2018-12-315,463.43-1,332.79-3,892.19
2018-09-306,796.220.00-2,559.40
2018-06-306,796.2256.89-2,559.40
2018-03-316,739.33-4,429.36-2,616.29
2017-12-3111,168.690.001,813.07
2017-09-3011,168.69-6,107.061,813.07
2017-06-3017,275.750.007,920.13
2017-03-3117,275.75-3,655.077,920.13
2016-12-3120,930.8211,575.2011,575.20
2016-09-029,355.62----