最近访问基金
华夏债券C[001003]的基金业绩
最后更新时间:2008-11-12 11:56:06 | 收藏 | 推荐给朋友 | 报告错误
华夏债券C  单位净值:1.1330  0.001  0.09% 累计净值:1.4630
  代码:001003  最新规模:39.67亿  净值日期:2008-11-11 
净值表现
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
2008-09-30近三个月2.99003.3100-0.32000.10000.1600-0.0600
2008-06-30近一个月-0.2700-0.59000.32000.04000.0600-0.0200
2008-06-30近三个月0.2800-0.18000.46000.05000.05000.0000
2008-06-30近六个月0.64002.1500-1.51000.09000.06000.0300
2008-06-30近一年9.27003.03006.24000.17000.06000.1100
2008-06-30近三年35.28006.270029.01000.14000.06000.0800
2008-06-30成立至今43.780012.040031.74000.14000.09000.0500
2008-03-31近三个月0.36002.3400-1.98000.12000.05000.0700
2007-12-31近一个月2.00000.52001.48000.16000.04000.1200
2007-12-31近三个月3.75000.34003.41000.27000.06000.2100
2007-12-31近六个月8.58000.86007.72000.22000.06000.1600
2007-12-31近一年16.9000-1.270018.17000.20000.06000.1400
2007-12-31近三年40.440011.700028.74000.15000.07000.0800
2007-12-31近五年42.01009.490032.52000.15000.09000.0600
2007-12-31成立至今42.86009.670033.19000.15000.09000.0600
2007-09-30近三个月4.65000.52004.13000.14000.07000.0700
2007-06-30近一个月0.1000-1.04001.14000.20000.04000.1600
2007-06-30近三个月2.6800-2.28004.96000.15000.06000.0900
2007-06-30近六个月7.6700-2.11009.78000.18000.06000.1200
2007-06-30近一年12.2300-0.460012.69000.14000.05000.0900
2007-06-30近三年27.290012.710014.58000.14000.07000.0700
2007-06-30成立至今31.58008.740022.84000.14000.09000.0500
2007-03-31近三个月4.86000.18004.68000.20000.04000.1600
2006-12-31近一个月1.94000.01001.93000.17000.04000.1300
2006-12-31近三个月3.34000.47002.87000.12000.04000.0800
2006-12-31近六个月4.24001.68002.56000.09000.04000.0500
2006-12-31近一年10.15002.36007.79000.11000.05000.0600
2006-12-31近三年18.280011.33006.95000.15000.09000.0600
2006-12-31成立至今22.210011.080011.13000.13000.10000.0300
2006-09-30近三个月0.87001.2100-0.34000.05000.04000.0100
2006-06-30近一个月0.2900-0.51000.80000.09000.05000.0400
2006-06-30近三个月2.1400-0.35002.49000.13000.05000.0800
2006-06-30近六个月5.67000.66005.01000.12000.05000.0700
2006-06-30近一年10.31003.62006.69000.10000.07000.0300
2006-06-30近三年14.05007.31006.74000.15000.10000.0500
2006-06-30成立至今17.24009.24008.00000.13000.10000.0300