建信红利

(530017) 产品风险: 中 债券型基金

单位净值 (2017-06-26)1.1320 近三月涨幅: -0.06% 近一年涨幅: 1.03%

通过主动管理债券组合,力争在追求基金资产稳定增长基础上为投资者取得高于投资业绩比较基准的回报。

管理人: 建信基金管理有限责任公司 基金经理: 钟敬棣
钟敬棣先生,投资管理部副总监。CFA,硕士,证券从业经历5年。加拿大籍华人。1995年7月毕业于南开大学金融系,获经济学学士学位,2004年5月毕业于加拿大不列颠哥伦比亚大学,获工商管理硕士学位。曾先后任职于广东发展银行珠海分行、深圳发展银行珠海分行、嘉实基金管理有限公司等,从事外汇交易、信贷、债券研究及投资组合管理等工作。2008年5月加入建信基金管理公司。2008年8月15日至今任建信稳定增利债券型证券投资基金基金经理。2009年6月2日至今任建信收益增强债券型证券投资基金基金经理。

涨幅比较

今年来 近1周 近1月 近3月 近6月 近1年 近2年 近3年
近期表现 0.61% 0.42% 0.91% -0.06% 0.06% 1.03% 3.75% 40.52%
债券类表现 1.49% -1.89% -1.07% -1.38% -1.21% -1.23% 1.67% 20.08%
沪深300表现 9.75% 3.22% 5.39% 5.11% 10.40% 19.20% -15.41% 70.68%
  • 现存净值:1010.30

    一年前投资1000元建信红利

  • 现存净值:1192.00

    一年前投资1000元至沪深300指数标的股

  • 现存净值:1054.6

    一年前投资1000元至平安大华日增利货币

  • 现存净值:1030

    一年前投资1000元至一年期定期存款

资产分配

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