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基金业绩

基金费率

投资组合

基金概况

财务数据

博时产业债纯债债券C(001971)

2018-03-29     1.0920-0.0915%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2018-03-294,823.260.00385.040.0025,802.90299.850.0076.970.00
2017-12-317,034.170.00357.610.0036,290.20896.670.00611.350.00
2017-09-3011,756.210.00172.810.0040,997.26998.800.00139.010.00
2017-06-3016,394.110.00335.950.0022,043.55999.300.00625.020.00
2017-03-3123,717.260.00455.550.0068,486.39997.300.00378.540.00
2016-12-3132,890.440.003,883.390.0093,558.06995.500.00668.820.00
2016-09-3043,994.140.001,603.140.00105,380.491,000.402,041.50775.090.00
2016-06-3017,860.840.001,647.890.0028,047.220.000.00169.810.00
2016-03-3118,861.270.001,644.850.00202,978.820.000.002,550.640.00
2015-12-3121,918.380.001,005.820.00215,891.663,850.860.00984.770.00