鹏华双债加利债券(增强债券)

股票入门 2023-01-13 19:53www.16816898.cn炒股票新手入门
  • 感觉这个汇付投资还是多牢靠的,你们怎么看?
  • 基金净值查询001443
  • 中级经济师金融附息债券怎么解方程?
  • 鹏华基金管理公司ta产品
  • 信用增强债是什么意思
  • 我国l0f基金有多少支?具体名称?
  • 增强债券基金是什么?有哪些优点?帮我推荐几只增强债券基金。
  • 1、感觉这个汇付投资还是多牢靠的,你们怎么看?

    这汇付投资在由证券时报社主办的第十二届中国基金业明星基金奖评选中,鹏华弘泽灵活配置混合型证券投资基金获“2016年度绝对收益明星基金奖”;鹏华双债增利基金获“2016年度普通债券型明星基金奖”。

    2、基金净值查询001443

    鹏华双债加利债券基金
    2015-06-08基金净值1.1810元。

    3、中级经济师金融附息债券怎么解方程?

    经济师金融付息债券的方程式带入之后,然后就可以进行计算。

    4、鹏华基金管理公司ta产品

    http://.phfund../main_ne/product/product_allFund_page.jsp
    基金名称 日期 单位净值 累计净值 日涨跌% 近6个月% 近1年% 成立以来% 今年以来% 网上交易
    股票型基金
    鹏华价值优势股票(LOF)
    160607 2014-10-17 0.8280 2.6850 -0.24 +11.56 +8.29 +179.18 +7.73
    鹏华优质治理股票(LOF)
    160611 2014-10-17 0.8100 0.9100 0.12 +2.80 -13.75 -10.72 -4.49
    鹏华盛世创新股票(LOF)
    160613 2014-10-17 1.3050 1.4520 -0.23 +9.27 +8.02 +47.62 +5.17
    鹏华精选成长股票
    206002 2014-10-17 0.9890 0.9890 -0.60 +12.43 +8.03 -0.50 +8.15
    鹏华消费优选股票
    206007 2014-10-17 1.0310 1.0310 -0.10 +10.02 -6.10 +3.20 +2.69
    鹏华新兴产业股票
    206009 2014-10-17 1.3970 1.3970 0.07 +14.80 +16.04 +39.60 +13.22
    鹏华价值精选股票
    206012 2014-10-17 1.0820 1.0820 -1.01 +14.09 +13.62 +9.30 +14.33
    鹏华环保产业股票
    000409 2014-10-17 1.0840 1.0840 -0.64 +8.99 0.00 +9.10 0.00
    鹏华医疗保健股票
    000780 2014-10-17 0.9960 0.9960 -0.50 0.00 0.00 +0.10 0.00
    混合型基金
    鹏华行业成长混合
    206001 2014-10-17 1.0616 4.2523 -0.88 +15.26 +17.27 +368.18 +12.69
    普天收益
    160603 2014-10-17 0.8920 3.3380 -0.56 +11.01 +15.00 +381.47 +12.97
    鹏华中国50混合
    160605 2014-10-17 1.0690 3.4390 -0.37 +5.92 -1.01 +413.55 -0.19
    鹏华动力增长混合(LOF)
    160610 2014-10-17 1.1530 1.5730 -0.86 +8.90 +1.31 +59.68 +6.50
    鹏华金刚保本混合
    206013 2014-10-17 1.1020 1.1020 0.09 +6.17 +5.16 +10.10 +8.90
    鹏华消费领先混合
    160624 2014-10-17 1.0930 1.0160 -0.46 +11.70 0.00 +9.29 +8.70
    鹏华品牌传承混合
    000431 2014-10-17 1.0320 1.0320 0.10 +2.69 0.00 +3.10 0.00
    鹏华策略优选混合
    160627 2014-10-17 1.0680 0.8680 -0.37 0.00 0.00 +7.39 0.00
    债券型基金
    普天债券A
    160602 2014-10-17 1.0880 1.5920 0.09 +6.88 +4.82 +71.49 +8.05
    普天债券B
    160608 2014-10-17 1.0730 1.5270 0.00 +6.77 +4.54 +48.55 +7.84
    鹏华丰收债券
    160612 2014-10-17 1.0560 1.3980 0.09 +6.24 +2.31 +44.86 +7.22
    鹏华丰润债券(LOF)
    160617 2014-10-17 1.0980 1.2270 0.18 +6.93 +8.61 +24.15 +9.65
    鹏华信用增利A
    206003 2014-10-17 1.1690 1.1990 0.26 +7.96 +5.23 +19.76 +9.90
    鹏华信用增利B
    206004 2014-10-17 1.1500 1.1800 0.17 +7.79 +4.94 +17.95 +9.65
    鹏华丰盛债券
    206008 2014-10-17 1.0680 1.1590 0.19 +5.75 +4.53 +16.23 +6.71
    鹏华丰泽B
    150061 2014-10-17 1.3590 1.3590 0.07 +8.04 +9.08 +35.80 +13.45
    鹏华丰泽分级债券
    160618 2014-10-17 1.2840 1.3090 0.08 +10.76 +12.95 +31.87 +14.90
    鹏华丰泽A
    160619 2014-10-17 1.0150 1.1290 0.00 +2.02 +4.08 +12.93 +3.24
    鹏华纯债债券
    206015 2014-10-17 1.0460 1.1160 0.19 +8.53 +6.39 +11.66 +9.19
    鹏华中小企业纯债债券
    160621 2014-10-17 1.1100 1.1260 0.09 +10.12 +8.01 +12.54 +13.11
    鹏华产业债债券
    206018 2014-10-17 1.0790 1.0850 0.56 +8.17 +6.77 +7.89 +9.38
    鹏华国企债债券
    000007 2014-10-17 1.0790 1.0880 0.47 +8.84 +8.19 +8.29 +11.07
    鹏华双债增利债券
    000054 2014-10-17 1.0760 1.0760 0.47 +7.75 +5.83 +7.10 +10.53
    丰利债B
    150129 2014-10-17 0.9790 0.9790 -0.10 +11.24 -0.81 -2.00 +13.56
    鹏华丰利分级债券
    160622 2014-10-17 0.9840 1.0170 0.00 +6.39 -1.80 -0.72 +8.37
    丰利债A
    160623 2014-10-17 1.0210 1.0670 0.00 +2.19 +4.45 +6.64 +3.51
    鹏华实业债纯债债券
    000053 2014-10-17 1.0840 1.0940 0.00 +10.08 +8.02 +9.42 +12.58
    鹏华双债加利债券
    000143 2014-10-17 1.0360 1.0860 0.10 +7.25 +7.57 +8.64 +8.97
    鹏华丰实定期开放债A
    000295 2014-10-17 1.0310 1.0780 -0.10 +7.70 +8.13 +8.02 +12.29
    鹏华丰实定期开放债B
    000296 2014-10-17 1.0310 1.0740 -0.10 +7.50 +7.83 +7.61 +11.98
    鹏华双债保利债券
    000338 2014-10-17 1.0550 1.0770 0.09 +5.08 +7.35 +7.67 +6.19
    鹏华丰泰定期开放债券
    000289 2014-10-17 1.0320 1.0790 0.00 +7.15 +8.01 +8.01 +10.21
    鹏华丰信分级债券
    000291 2014-10-17 1.1220 1.1100 0.18 +9.21 0.00 +12.16 +13.07
    鹏华丰信分级债券A
    000292 2014-10-17 1.0220 1.0450 0.00 +2.34 0.00 +4.49 +3.56
    鹏华丰信分级债券B
    000293 2014-10-17 1.1290 1.1290 0.18 +9.63 0.00 +12.70 +13.95
    鹏华丰融定期开放债券
    000345 2014-10-17 1.0610 1.0850 0.09 +5.49 0.00 +8.44 +8.88
    QDII基金
    鹏华环球发现(QDII-FOF) 206006 2014-10-16 0.9650 0.9650 -0.52 -1.72 +1.36 -3.00 +1.78
    鹏华美国房地产(QDII) 206011 2014-10-16 1.1010 1.2010 1.01 +0.48 +9.78 +19.47 +13.73
    鹏华全球高收益债(QDII) 000290 2014-10-16 1.0280 1.0580 -1.25 +6.40 0.00 +7.15 +6.19
    封闭型基金
    鹏华普惠
    184689 2013-12-20 0.9307 3.7987 -1.77 -4.53 +9.39 +446.99 -0.45
    鹏华普丰封闭
    184693 2014-06-06 0.8005 2.8869 -0.50 -6.54 -8.37 +193.50 -4.31
    指数型基金
    鹏华沪深300指数(LOF)
    160615 2014-10-17 0.9270 0.9870 -0.22 +13.57 +5.33 -2.64 +8.78
    鹏华中证500指数(LOF)160616 2014-10-17 0.9950 0.9950 -0.80 +21.43 +21.72 +0.30 +25.69
    鹏华上证民企50ETF联接
    206005 2014-10-17 1.0280 1.0280 0.10 +7.54 -0.96 +2.70 +6.54
    民企ETF
    510070 2014-10-17 1.2050 1.0330 0.08 +8.08 -0.82 +3.20 +7.02
    民营ETF
    159911 2014-10-17 3.3490 1.0148 -0.50 +10.74 +0.87 +1.98 +5.48
    鹏华深证民营ETF联接
    206010 2014-10-17 1.0216 1.0216 -0.56 +10.00 +0.43 +2.74 +4.89
    鹏华资源A
    150100 2014-10-17 1.0480 1.1230 0.00 +3.05 +6.02 +12.87 +4.78
    鹏华资源B
    150101 2014-10-17 1.0940 0.2690 -2.50 +51.01 -31.61 -72.37 +11.42
    鹏华资源分级
    160620 2014-10-17 1.0710 0.7080 -1.29 +23.30 -2.40 -28.58 +8.11
    鹏华沪深300ETF
    159927 2014-10-17 2.4721 1.0940 -0.11 +11.60 +2.43 +9.52 +6.65
    鹏华非银行A
    150177 2014-10-17 1.0270 1.0270 0.00 0.00 0.00 +2.70 0.00
    鹏华非银行B
    150178 2014-10-17 1.3050 1.3050 1.87 0.00 0.00 +28.10 0.00
    鹏华信息A
    150179 2014-10-17 1.0270 1.0270 0.00 0.00 0.00 +2.70 0.00
    鹏华信息B
    150180 2014-10-17 1.3930 1.3930 -0.43 0.00 0.00 +39.90 0.00
    鹏华非银行分级
    160625 2014-10-17 1.1660 1.1660 1.04 0.00 0.00 +15.40 0.00
    鹏华信息分级
    160626 2014-10-17 1.2100 1.2100 -0.25 0.00 0.00 +21.30 0.00
    地产A
    150192 2014-10-17 1.0060 1.0060 0.00 0.00 0.00 +0.60 0.00
    地产B
    150193 2014-10-17 1.0200 1.0200 0.59 0.00 0.00 +1.40 0.00
    鹏华地产分级
    160628 2014-10-17 1.0130 1.0130 0.30 0.00 0.00 +1.00 0.00
    货币型基金 日期 每万份收益 七日年化% 网上交易
    鹏华货币A
    160606 2014-10-17 1.2814 4.3920
    鹏华货币B
    160609 2014-10-17 1.3469 4.6320
    鹏华增值宝货币
    000569 2014-10-17 1.1208 4.5650
    短期理财 日期 每万份收益 上期实际年化收益率% 网上交易
    鹏华月月发理财A
    206016 2014-10-17 1.0615 3.448
    鹏华月月发理财B
    206017 2014-10-17 - -

    5、信用增强债是什么意思

    指的是基金吧,投资以债券为主,但具体投资的内容可能不仅仅是债券需要看一下具体的投资范围

    6、我国l0f基金有多少支?具体名称?

    目前看有111只LOF型基金产品
    1 160716 嘉实基本面50
    2 163001 长信中证央企
    3 161607 融通巨潮
    4 162307 海富通中证100
    5 165508 信诚深度价值
    6 160607 鹏华价值优势
    7 160706 嘉实沪深300
    8 167901 华宸未来沪深
    9 161217 国投瑞银中证
    10 163407 兴全沪深300
    11 166007 中欧沪深300
    12 165309 建信沪深300
    13 160615 鹏华沪深300
    14 160807 长盛沪深300
    15 165517 信诚双盈债券
    16 164902 交银信用添利
    18 162207 泰达宏利效率
    19 161907 万家中证红利
    20 161810 银华内需精选
    21 162712 广发聚利债券
    22 166011 中欧盛世成长
    23 165313 建信优势动力
    24 161506 银河通利债券
    25 160505 博时主题行业
    26 161213 国投瑞银消费
    27 165509 信诚增强债券
    28 164606 华泰柏瑞信用
    29 163110 申万量化小盘
    30 160611 鹏华优质治理
    31 165512 信诚新机遇
    32 160415 华安深证30
    33 163112 申万菱信定期
    34 160311 华夏蓝筹
    35 160617 鹏华丰润债券
    36 162308 海富通稳进增
    37 160105 南方积极配置
    38 166008 中欧增强债券
    39 164205 天弘深证成份
    40 160618 鹏华丰泽债券
    41 160915 大成景丰债券
    42 164808 工银四季收益
    43 161010 富国天丰强化
    44 163302 大摩资源优选
    45 165806 东吴深证100
    46 165705 诺德双翼债券
    47 160613 鹏华盛世创新
    48 160515 博时安丰
    49 161015 富国天盈债券
    50 165314 建信信用增强
    51 161821 银华中证中票
    52 161017 富国中证50
    53 161822 银华中证中票
    54 164208 天弘丰利
    55 160514 博时稳健回报
    56 160916 大成优选股票 04-17 2.1440 1.6890 0.05% 0.56% 17.35% 32.02% 76.46% 98.70% 89.40% --- 47.86% 114.40% 100.37% 0.60%
    57 160810 长盛同丰债券 04-17 1.0930 1.0930 0.18% 0.55% 0.92% 3.80% 4.69% 11.87% 5.16% --- 4.10% 6.94% 11.87% 0.00%
    58 161813 银华信用债券 04-17 1.1410 1.3260 0.18% 0.53% -1.04% -0.95% 5.55% 13.31% 13.19% 24.28% 0.62% 36.30% 12.75% 0.60%
    59 161119 易方达新综合 04-17 1.0845 1.0845 0.07% 0.52% 0.41% 1.32% 4.25% 7.89% 5.57% --- 1.75% 8.45% 7.90% 0.60%
    60 161115 易方达岁丰添 04-17 1.5930 1.7370 0.19% 0.50% 1.47% 6.34% 46.96% 61.23% 58.50% 74.20% 7.78% 83.21% 61.56% 0.60%
    61 161120 易方达新综合 04-17 1.0790 1.0790 0.07% 0.50% 0.37% 1.22% 4.07% 7.51% 5.28% --- 1.65% 7.90% 7.52% 0.00%
    62 162716 广发聚源C 04-17 1.0210 1.0210 0.10% 0.49% 0.29% 3.76% 4.50% 7.93% --- --- 4.40% 2.10% 7.81% 0.00%
    63 162715 广发聚源A 04-17 1.0270 1.0270 0.10% 0.49% 0.29% 3.84% 4.58% 8.11% --- --- 4.48% 2.70% 8.11% 0.60%
    64 161908 万家添利 04-17 0.9804 1.4133 0.11% 0.48% 0.19% 3.10% 12.59% 18.52% 22.10% 36.14% 5.72% 44.17% 18.47% 0.00%
    65 160721 嘉实中证中期 04-17 1.0746 1.0746 0.05% 0.45% 0.76% 1.48% 2.36% 7.37% 6.60% --- 2.12% 7.46% 7.23% 0.00%
    66 160123 南方中证50 04-17 1.1306 1.1606 0.00% 0.44% -0.26% 0.01% 2.35% 6.52% 5.08% 9.45% 0.77% 16.33% 6.51% 0.60%
    67 160720 嘉实中证中期 04-17 1.0786 1.0786 0.05% 0.44% 0.67% 1.25% 2.14% 7.32% 6.91% --- 1.85% 7.86% 7.17% --
    68 160124 南方中证50 04-17 1.1138 1.1438 0.00% 0.43% -0.30% -0.08% 2.17% 6.14% 4.32% 8.23% 0.66% 14.62% 6.14% 0.00%
    69 160119 南方中证50 04-17 1.8537 1.9537 0.86% 0.43% 19.81% 42.93% 61.11% 94.53% 125.72% 112.53% 47.99% 102.46% 96.89% 0.60%
    70 161224 国投瑞银新丝 04-17 1.0040 1.0040 --- 0.40% --- --- --- --- --- --- --- 0.40% 0.40% --
    71 160133 南方天元 04-17 1.7630 1.7630 0.17% 0.40% 20.42% 36.67% 69.52% --- --- --- 39.59% 76.30% 76.30% 0.60%
    72 162006 长城久富核心 04-17 1.5383 4.0741 0.03% 0.39% 16.90% 29.71% 48.87% 56.46% 62.36% 80.24% 36.38% 153.42% 57.53% 0.60%
    73 160134 南方聚利C 04-17 1.0100 1.1200 0.10% 0.39% -0.29% 1.27% --- --- --- --- 2.46% 2.36% 2.36% 0.00%
    74 160131 南方聚利A 04-17 1.0100 1.1210 0.00% 0.39% -0.29% 1.37% 4.17% 9.53% --- --- 2.56% 12.49% 9.32% --
    75 161216 国投瑞银双债 04-17 1.0450 1.4370 0.19% 0.38% 0.10% 2.72% 18.18% 30.52% 28.80% 47.15% 3.51% 50.39% 30.39% 0.60%
    76 160130 南方永利A 04-17 1.2100 1.5610 0.15% 0.37% 1.25% 3.21% 37.16% 56.54% --- --- 11.25% 60.16% 56.54% --
    77 160132 南方永利C 04-17 1.2120 1.5550 0.15% 0.37% 1.18% 3.12% 36.80% --- --- --- 11.15% 55.82% 55.82% 0.00%
    78 161716 招商双债增强 04-17 1.0060 1.1390 0.20% 0.30% 0.40% 1.59% 13.54% 25.81% 15.90% --- 4.38% 17.29% 25.67% --
    79 162711 广发中证50 04-17 1.7038 1.7038 0.86% 0.28% 19.61% 42.18% 59.67% 92.52% 121.56% 111.39% 47.22% 70.38% 94.83% 0.60%
    80 161820 银华纯债信用 04-17 1.0520 1.1820 0.00% 0.19% -0.09% 1.37% 3.26% 11.62% 11.38% --- 1.74% 18.95% 11.62% 0.60%
    81 162105 金鹰持久增利 04-17 1.0057 1.3714 0.04% 0.15% 0.55% 4.59% 7.17% 22.36% 30.33% 42.33% 5.33% 43.01% 21.90% 0.00%
    82 160805 长盛同智优势 04-17 1.3871 2.8473 0.97% 0.14% 14.30% 23.14% 65.91% 86.09% 99.83% 92.19% 27.01% 121.64% 88.36% 0.60%
    83 160616 鹏华中证50 04-17 1.6080 1.6080 0.82% 0.12% 19.55% 42.18% 61.61% 94.91% 126.16% 112.42% 46.18% 60.80% 97.30% 0.60%
    84 160220 国泰民益灵活 04-17 1.2010 1.2010 0.00% 0.08% 1.95% 4.80% 12.66% 17.63% --- --- 8.00% 20.10% 17.63% 0.60%
    85 160910 大成创新成长 04-17 1.2610 2.4720 0.56% 0.08% 16.76% 23.51% 63.77% 78.11% 69.95% 70.41% 29.33% 26.10% 79.89% 0.60%
    86 166012 中欧信用增利 04-17 1.1910 1.1910 0.00% 0.00% 0.09% 0.78% 1.04% 9.21% 14.50% 24.75% 1.13% 24.75% 9.11% 0.00%
    87 160918 大成中小盘股 04-17 1.5420 4.3470 -1.41% -0.13% 19.81% 41.08% 54.05% 70.95% --- --- 48.70% 70.95% --- 0.60%
    88 166001 中欧新趋势 04-17 1.3416 1.6016 -0.27% -0.17% 18.53% 39.43% 49.15% 70.19% 86.05% 95.57% 42.72% 59.16% 70.95% 0.60%
    89 160812 长盛同益成长 04-17 1.8800 5.1960 0.75% -0.27% 14.70% 28.77% 60.14% --- --- --- 30.92% 88.00% --- 0.60%
    90 163415 兴全商业模式 04-17 2.0530 2.0530 -0.48% -0.39% 13.55% 27.44% 73.54% 91.87% 109.70% --- 35.15% 105.30% 93.50% 0.60%
    91 160212 国泰估值优势 04-17 1.5140 1.5140 0.13% -0.39% 18.65% 36.27% 47.85% 66.92% 90.44% 74.42% 42.16% 51.40% 68.97% 0.60%
    92 160610 鹏华动力增长 04-17 1.6370 2.1120 0.06% -0.43% 16.93% 37.79% 48.55% 60.83% 58.01% 74.42% 44.42% 135.75% 62.81% 0.60%
    93 162510 国联安双力中 04-17 1.9470 2.0150 0.26% -0.51% 20.48% 46.17% 53.55% 84.72% 119.52% 107.83% 53.19% 108.04% 87.03% 0.60%
    94 160919 大成产业升级 04-17 1.5540 3.5400 0.32% -0.58% 20.28% 42.04% --- --- --- --- 48.69% 46.73% 46.73% 0.60%
    95 160813 长盛同盛成长 04-17 1.2840 3.8440 0.23% -0.70% 13.53% 23.34% --- --- --- --- 20.45% 28.40% 28.40% 0.60%
    96 161903 万家行业优选 04-17 0.7915 2.1803 0.00% -0.74% 14.73% 35.65% 47.34% 60.68% 46.49% 32.07% 40.16% 158.88% 62.46% 0.60%
    97 163409 兴全绿色投资 04-17 2.4780 2.4780 -0.08% -0.84% 13.98% 23.71% 61.12% 75.99% 153.89% 167.03% 30.83% 147.80% 78.27% 0.60%
    98 160314 华夏行业精选 04-17 1.4200 6.8760 0.14% -1.05% 19.23% 42.57% 58.84% 82.75% 109.45% 128.11% 48.38% 84.31% 83.94% 0.60%
    99 163402 兴全趋势投资 04-17 1.4855 8.2016 -0.35% -1.05% 12.99% 24.54% 56.75% 77.86% 91.29% 98.52% 32.06% 1004.93% 79.31% 0.60%
    100 160106 南方高增长 04-17 2.3023 4.1193 0.33% -1.19% 18.60% 33.87% 62.73% 81.93% 102.27% 133.36% 40.42% 675.46% 83.24% 0.60%
    101 161219 国投瑞银新兴 04-17 1.5710 1.8970 0.06% -1.26% 13.84% 30.48% 50.19% 59.01% 68.57% 104.00% 32.91% 111.35% 59.98% 0.60%
    102 166009 中欧新动力 04-17 2.3004 2.3004 -0.22% -1.51% 20.05% 48.48% 53.05% 89.76% 130.92% 151.74% 52.23% 130.04% 91.41% 0.60%
    103 166006 中欧行业成长 04-17 1.2270 1.2770 -0.11% -1.64% 16.41% 39.27% 60.33% 77.31% 38.08% 50.66% 42.92% 28.69% 79.33% 0.60%
    104 160215 国泰价值经典 04-17 1.5990 1.5990 -0.06% -1.72% 16.38% 34.14% 65.02% 96.92% 102.41% 100.88% 39.41% 59.90% 98.88% 0.60%
    105 165516 信诚周期轮动
    106 161005 富国天惠成长
    107 163412 兴全轻资产
    108 162703 广发小盘成长
    109 160211 国泰中小盘
    110 161610 融通领先成长
    111 161706 招商优质成长

    7、增强债券基金是什么?有哪些优点?帮我推荐几只增强债券基金。

    1、增强债券基金是基金管理公司设立的,将资金打部分投资到债券市场,小部分投资到一级(个别有二级)股票市场的基金。投资比例由基金公司在招募说明书中规定。
    2、这种投资是为了增加债券基金操作的灵活性,增强债券基金的收益率。一般增强债券基金多参与一级市场新股申购,待新股上市后直接卖出,以获取较高收益。现在新股经常破发,这些基金参与得就少些,但一些有投资价值的新股还是会参与的。但也有一些债券基金参与二级市场股票买卖,这样的债券基金与股债混合基金的区分就不是很明显了,主要区别只体现在股债分别投资的比例上。一般投资到股票市场的资金高限不应超过20%。
    3、不错的增强债券基金有易方达增强回报债券、工银瑞信增强债券、富国天利增长等。

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