债券型基金净值排行一览
基金名称基金代码更新日期周收益月收益季收益年收益
博时转债增强债券C0501192014/12/3117.21%37.24%73.74%93.76%
博时转债增强债券A0500192014/12/3117.05%36.72%72.90%93.46%
博时信用债券A0500112014/12/3116.50%34.26%67.94%88.34%
博时信用债券B0510112014/12/3116.50%34.26%67.94%88.34%
博时信用债券C0501112014/12/3116.48%34.27%67.81%87.63%
华安可转债债券A0400222014/12/3113.99%32.20%64.65%78.14%
华安可转债债券B0400232014/12/3113.97%32.05%64.48%77.37%
长信可转债债券A5199772014/12/3111.60%31.69%64.46%95.11%
长信可转债债券C5199762014/12/3111.58%31.52%64.11%94.13%
招商可转债分级债券1617192014/12/3110.03%34.36%62.38%66.60%
数据来源:同花顺爱基金(一站式基金平台)
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