序 | 基金 | 任期.年 | 基金类型 | 规模.亿 | 开始日期 | 结束日期 | 任期内年化 | 任期内涨幅 | 对比 | |||
---|---|---|---|---|---|---|---|---|---|---|---|---|
基金 | 同类平均 | 沪深300 | 同类排名 | |||||||||
1 | 017782.博时恒享债券A | 0.6 | 债券型.混合二级 | 0.84 | 2023.03.30 | 2023.10.23 | -4.68% | -2.37% | +0.61% | -13.97% | 3386 / 3829 | |
2 | 017783.博时恒享债券C | 0.6 | 债券型.混合二级 | - | 2023.03.30 | 2023.10.23 | -4.90% | -2.48% | +0.61% | -13.97% | 3407 / 3829 | |
3 | 018277.博时稳健增利债券A | 0.3 | 债券型.混合二级 | 2.67 | 2023.06.20 | 2023.10.20 | -2.20% | -0.74% | -0.21% | -10.54% | 3080 / 3931 | |
4 | 018278.博时稳健增利债券C | 0.3 | 债券型.混合二级 | 6.64 | 2023.06.20 | 2023.10.20 | -2.53% | -0.85% | -0.21% | -10.54% | 3125 / 3931 | |
5 | 050006.博时稳定价值债券B | 3.7 | 债券型.混合一级 | 3.07 | 2020.02.24 | 2023.10.20 | +3.60% | +13.49% | +9.80% | -15.06% | 268 / 1927 | |
6 | 050019.博时转债增强债券A | 4.5 | 债券型.混合二级 | 9.83 | 2019.04.25 | 2023.10.20 | +3.62% | +16.99% | +16.67% | -10.94% | 333 / 1531 | |
7 | 050106.博时稳定价值债券A | 3.7 | 债券型.混合一级 | 20.74 | 2020.02.24 | 2023.10.20 | +3.90% | +14.70% | +9.80% | -15.06% | 192 / 1927 | |
8 | 050119.博时转债增强债券C | 4.5 | 债券型.混合二级 | 3.01 | 2019.04.25 | 2023.10.20 | +3.20% | +14.91% | +16.67% | -10.94% | 512 / 1531 | |
9 | 160513.博时稳健回报债券(LOF)A | 5.5 | 债券型.混合一级 | 19.51 | 2018.04.23 | 2023.10.20 | +6.19% | +38.42% | +22.84% | -6.79% | 61 / 1097 | |
10 | 160514.博时稳健回报债券(LOF)C | 5.5 | 债券型.混合一级 | 25.32 | 2018.04.23 | 2023.10.20 | +5.81% | +35.81% | +22.84% | -6.79% | 79 / 1097 | |
11 | 511380.博时可转债 | 3.6 | - | 62.84 | 2020.03.06 | 2023.10.20 | +2.48% | +9.16% | +9.76% | -15.17% | 1255 / 1994 | |
12 | 160513.博时稳健回报债券(LOF)A | 5.5 | - | 19.51 | 2018.04.23 | 2023.10.20 | +6.19% | +38.42% | +22.84% | -6.79% | 61 / 1097 | |
13 | 009545.博时鑫荣稳健混合A | 1.9 | 混合型.偏债 | 0.41 | 2021.12.09 | 2023.10.20 | -3.93% | -7.08% | -24.04% | -30.88% | 1242 / 5590 | |
14 | 009546.博时鑫荣稳健混合C | 1.9 | 混合型.偏债 | 0.03 | 2021.12.09 | 2023.10.20 | -4.02% | -7.25% | -24.04% | -30.88% | 1262 / 5590 | |
15 | 014554.博时恒瑞混合A | 1.7 | 混合型.偏债 | 0.39 | 2022.02.24 | 2023.10.20 | -2.71% | -4.25% | -17.51% | -22.49% | 1215 / 6046 | |
16 | 014555.博时恒瑞混合C | 1.7 | 混合型.偏债 | 0.46 | 2022.02.24 | 2023.10.20 | -3.16% | -4.96% | -17.51% | -22.49% | 1356 / 6046 | |
17 | 003866.博时富诚纯债债券 | 2.0 | 债券型.长债 | 5.52 | 2017.03.17 | 2019.03.04 | +4.96% | +9.72% | +8.62% | +10.11% | 404 / 1061 | |
18 | 002698.博时裕利纯债债券A | 2.8 | 债券型.长债 | 60.21 | 2016.05.09 | 2019.03.04 | +4.54% | +12.98% | +9.14% | +23.76% | 138 / 616 | |
19 | 002929.博时聚盈纯债债券 | 2.6 | 债券型.长债 | 13.13 | 2016.07.27 | 2019.03.04 | +3.89% | +10.35% | +7.05% | +17.89% | 168 / 666 | |
20 | 002930.博时聚润纯债债券A | 2.5 | 债券型.长债 | 4.96 | 2016.08.30 | 2019.03.04 | +3.35% | +8.57% | +6.87% | +14.56% | 269 / 700 | |
21 | 003207.博时富发纯债债券A | 2.5 | 债券型.长债 | 2.38 | 2016.09.07 | 2019.03.04 | +4.93% | +12.32% | +6.68% | +13.57% | 55 / 706 | |
22 | 004479.博时富和纯债债券 | 1.5 | 债券型.长债 | 9.24 | 2017.08.30 | 2019.03.04 | +5.81% | +8.85% | +6.77% | -1.05% | 310 / 1128 | |
23 | 004307.博时富元纯债债券 | 2.0 | 债券型.长债 | 34.97 | 2017.02.16 | 2019.02.25 | +5.22% | +10.72% | +8.49% | +8.39% | 257 / 949 | |
24 | 050119.博时转债增强债券C | 5.3 | 债券型.混合二级 | 3.01 | 2013.09.25 | 2019.01.28 | +4.12% | +24.06% | +36.89% | +31.07% | 321 / 390 | |
25 | 050019.博时转债增强债券A | 5.3 | 债券型.混合二级 | 9.83 | 2013.09.25 | 2019.01.28 | +4.33% | +25.39% | +36.89% | +31.07% | 308 / 390 | |
26 | 003023.博时景发纯债债券A | 2.3 | 债券型.长债 | 14.33 | 2016.08.03 | 2018.11.19 | +0.76% | +1.71% | +3.81% | +3.17% | 493 / 681 | |
27 | 003260.博时利发纯债债券A | 2.2 | 债券型.长债 | 30.64 | 2016.09.07 | 2018.11.06 | +2.84% | +6.00% | +2.79% | -2.92% | 214 / 719 | |
28 | 003963.博时慧选纯债定开债 | 1.6 | 债券型.长债 | 20.34 | 2016.12.19 | 2018.08.09 | +4.75% | +7.62% | +6.17% | +2.06% | 37 / 132 | |
29 | 003268.博时悦楚纯债债券A | 1.6 | 债券型.长债 | 14.87 | 2016.09.09 | 2018.04.09 | +1.22% | +1.83% | +1.91% | +16.12% | 439 / 814 | |
30 | 004282.博时兴荣货币B | 1.1 | 货币型.每万份收益 | 30.43 | 2017.02.24 | 2018.03.19 | +4.86% | +4.86% | +4.26% | +17.28% | 5 / 545 | |
31 | 004060.博时兴盛货币B | 1.0 | 货币型.每万份收益 | 52.25 | 2016.12.21 | 2017.12.29 | +4.61% | +4.61% | +3.88% | +20.74% | 5 / 518 | |
32 | 003259.博时聚利3个月定开债发起式 | 1.2 | 债券型.长债 | 62.84 | 2016.09.18 | 2017.11.22 | +1.82% | +2.13% | +0.92% | +29.56% | 265 / 850 | |
33 | 003258.博时富祥纯债债券A | 1.0 | 债券型.长债 | 32.26 | 2016.11.10 | 2017.11.16 | -0.43% | -0.43% | +0.20% | +21.07% | 519 / 855 | |
34 | 002781.博时聚瑞6个月定开债 | 1.5 | 债券型.长债 | 25.36 | 2016.05.26 | 2017.11.08 | +0.18% | +0.26% | +2.81% | +32.11% | 70 / 81 |
日期 | 获奖基金 | 奖项 |
---|---|---|
2018.03.23 | 002930.博时聚润纯债债券 | 2017年度一年期普通债券型明星基金奖 |
2018.03.23 | 002930.博时聚润纯债债券A | 2017年度一年期普通债券型明星基金奖 |