债券基金排行一览
基金代码基金名称更新日期周收益月收益季收益年收益
050119博时转债增强债券C2015/1/154.10%35.34%87.72%113.21%
050019博时转债增强债券A2015/1/154.07%34.91%86.59%112.59%
050011博时信用债券A2015/1/154.74%35.31%80.21%102.29%
051011博时信用债券B2015/1/154.74%35.31%80.21%102.29%
050111博时信用债券C2015/1/154.74%35.35%80.11%101.60%
040022华安可转债债券A2015/1/152.35%29.41%79.28%101.81%
040023华安可转债债券B2015/1/152.39%29.38%79.10%101.03%
161719招商可转债分级债券2015/1/150.50%35.64%75.10%78.78%
530020建信转债增强债券A2015/1/152.06%35.58%74.22%124.10%
531020建信转债增强债券C2015/1/152.08%35.60%74.15%123.42%
数据来源:同花顺爱基金(一站式基金平台)
页:
[1]