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基金业绩

基金费率

投资组合

基金概况

财务数据

中海惠丰分级债券B(150154)

2017-11-10     1.00000.0000%
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
2017-11-091,843.770.00462.670.0012.880.000.001,509.500.00
2017-09-3052,967.510.0010,938.71267.1023.291,982.400.00386.940.00
2017-06-3054,643.790.003,496.303,285.43268,459.590.000.001,118.480.00
2017-03-3155,065.520.00291.044,794.53678,516.770.000.001,319.030.00
2016-12-31183,047.850.0013,014.574,598.611,134,968.350.000.003,715.400.00
2016-09-30187,498.700.0011,262.344,493.771,297,820.490.000.004,817.490.00
2016-06-30185,263.610.004,009.375,130.40926,130.2115,003.000.003,776.040.00
2016-03-31185,216.090.0014,265.124,371.99921,834.540.000.002,149.360.00
2015-12-3159,674.820.004,269.144,744.00517,981.290.000.001,680.250.00
2015-09-3058,256.780.003,068.281,029.12428,563.461,000.300.0018,793.950.00
2015-06-3047,580.560.005,576.21323.12491,345.630.000.001,686.480.00
2015-03-3145,978.360.003,295.031,227.09676,884.661,000.300.001,958.820.00
2014-12-3147,202.060.005,929.1018,804.26666,387.312,000.700.001,951.180.00
2014-09-3043,805.400.001,108.812,219.61690,324.442,004.000.002,213.460.00
2014-06-3051,221.320.001,402.852,376.08816,620.012,007.500.002,963.670.00
2014-03-3148,967.090.001,065.094,817.79779,779.882,000.000.003,470.700.00
2013-12-31117,164.290.008,483.745,440.83944,375.040.000.003,646.340.00
2013-11-29117,319.040.0019,184.665,125.90905,211.050.000.002,179.340.00