行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

前海联合添惠纯债债券C(007038)

2022-06-30     1.1775-0.0679%
 查询其他基金该项数据
报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2022-06-22近三个月1.09000.69000.40000.04000.01000.0300
2022-06-22近六个月0.72001.3700-0.65000.06000.01000.0500
2022-06-22近一年3.22002.78000.44000.06000.01000.0500
2022-06-22近三年11.10008.57002.53000.06000.01000.0500
2022-06-22成立至今11.67009.56002.11000.06000.01000.0500
2022-03-31近三个月-0.23000.6800-0.91000.07000.01000.0600
2022-03-31近六个月0.27001.3700-1.10000.05000.01000.0400
2022-03-31近一年3.37002.78000.59000.06000.01000.0500
2022-03-31近三年10.80008.57002.23000.06000.01000.0500
2022-03-31成立至今10.81008.88001.93000.06000.01000.0500
2021-12-31近三个月0.51000.6900-0.18000.03000.01000.0200
2021-12-31近三个月0.51000.6900-0.18000.03000.01000.0200
2021-12-31近六个月2.49001.39001.10000.07000.01000.0600
2021-12-31近六个月2.49001.39001.10000.07000.01000.0600
2021-12-31近一年4.81002.78002.03000.06000.01000.0500
2021-12-31近一年4.81002.78002.03000.06000.01000.0500
2021-12-31成立至今11.07008.14002.93000.06000.01000.0500
2021-12-31成立至今11.07008.14002.93000.06000.01000.0500
2021-09-30近三个月1.98000.69001.29000.09000.01000.0800
2021-09-30近六个月3.09001.38001.71000.06000.01000.0500
2021-09-30近一年5.42002.78002.64000.06000.01000.0500
2021-09-30成立至今10.51007.40003.11000.06000.01000.0500
2021-06-30近一个月0.23000.23000.00000.02000.01000.0100
2021-06-30近三个月1.09000.68000.41000.02000.01000.0100
2021-06-30近三个月1.09000.68000.41000.02000.01000.0100
2021-06-30近六个月2.26001.37000.89000.05000.01000.0400
2021-06-30近六个月2.26001.37000.89000.05000.01000.0400
2021-06-30近一年2.93002.78000.15000.05000.01000.0400
2021-06-30近一年2.93002.78000.15000.05000.01000.0400
2021-06-30成立至今8.37006.66001.71000.06000.01000.0500
2021-06-30成立至今8.37006.66001.71000.06000.01000.0500
2021-03-31近三个月1.16000.68000.48000.06000.01000.0500
2021-03-31近六个月2.27001.37000.90000.05000.01000.0400
2021-03-31近一年1.82002.7800-0.96000.08000.01000.0700
2021-03-31成立至今7.20005.94001.26000.06000.01000.0500
2020-12-31近三个月1.09000.69000.40000.03000.01000.0200
2020-12-31近三个月1.09000.69000.40000.03000.01000.0200
2020-12-31近六个月0.66001.3900-0.73000.06000.01000.0500
2020-12-31近六个月0.66001.3900-0.73000.06000.01000.0500
2020-12-31近一年2.81002.78000.03000.08000.01000.0700
2020-12-31近一年2.81002.78000.03000.08000.01000.0700
2020-12-31成立至今5.97005.22000.75000.06000.01000.0500
2020-12-31成立至今5.97005.22000.75000.06000.01000.0500
2020-09-30近三个月-0.43000.6900-1.12000.08000.01000.0700
2020-09-30近六个月-0.44001.3800-1.82000.10000.01000.0900
2020-09-30近一年2.89002.78000.11000.08000.01000.0700
2020-09-30成立至今4.82004.50000.32000.07000.01000.0600
2020-06-30近一个月-0.90000.2400-1.14000.13000.01000.1200
2020-06-30近三个月-0.01000.6800-0.69000.12000.01000.1100
2020-06-30近三个月-0.01000.6800-0.69000.12000.01000.1100
2020-06-30近六个月2.14001.37000.77000.09000.01000.0800
2020-06-30近六个月2.14001.37000.77000.09000.01000.0800
2020-06-30近一年4.54002.78001.76000.07000.01000.0600
2020-06-30近一年4.54002.78001.76000.07000.01000.0600
2020-06-30成立至今5.28003.78001.50000.07000.01000.0600
2020-06-30成立至今5.28003.78001.50000.07000.01000.0600
2020-03-31近三个月2.15000.68001.47000.05000.01000.0400
2019-12-31近三个月1.17000.69000.48000.03000.01000.0200
2019-12-31近三个月1.17000.69000.48000.03000.01000.0200
2019-12-31近六个月2.34001.39000.95000.03000.01000.0200
2019-12-31成立至今3.07002.38000.69000.04000.01000.0300
2019-09-30近三个月1.16000.69000.47000.03000.01000.0200
2019-06-30近一个月0.46000.23000.23000.02000.01000.0100
2019-06-30近三个月0.70000.68000.02000.06000.01000.0500
2019-06-30近三个月0.70000.68000.02000.06000.01000.0500
2019-06-30成立至今0.71000.9700-0.26000.06000.01000.0500
2019-03-31近三个月0.01000.2900-0.28000.06000.01000.0500