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基金业绩

基金费率

投资组合

基金概况

财务数据

国泰中国企业信用精选债券(QDII)A现钞(004163)

2017-10-27     0.1515-0.2633%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2021-05-261,222.34-266.271,222.34
2021-03-311,488.61-1,653.601,488.61
2020-12-313,142.21-1,042.313,142.21
2020-09-304,184.52-625.184,184.52
2020-06-304,809.70669.814,809.70
2020-03-314,139.89204.284,139.89
2019-12-313,935.61-219.553,935.61
2019-09-304,155.16-840.854,155.16
2019-06-304,996.01-8,960.484,996.01
2019-03-3113,956.49801.3213,956.49
2018-12-3113,155.17-519.9813,155.17
2018-09-3013,675.15-1,755.4613,675.15
2018-06-3015,430.61-1,421.4715,430.61
2018-03-3116,852.08-2,133.2616,852.08
2017-12-3118,985.3418,985.3418,985.34
2017-09-130.00----