博时第三产业成长混合
(050008.jj)博时基金管理有限公司持有人户数6.97万
成立日期2007-04-13
总资产规模
7.08亿 (2024-09-30)
基金类型混合型当前净值0.6080基金经理于玥管理费用率1.50%管托费用率0.25%持仓换手率568.58% (2024-06-30) 成立以来分红再投入年化收益率-3.93%
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博时第三产业成长混合(050008) - 历史月度涨跌幅

最后更新于:2024-12-23

数据选项
1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024-13.70%8.73%1.93%2.52%-3.69%-3.19%-3.29%-2.04%11.65%-3.43%-1.94%0.00%-8.43%
20235.05%-3.45%-1.28%0.26%-5.68%0.41%1.36%-3.63%-3.07%-3.74%-0.60%-0.15%-13.99%
2022-10.05%-1.81%-9.32%-5.85%5.84%8.27%-3.32%-2.29%-5.28%-4.95%-0.13%0.65%-26.12%
20211.87%-4.37%-3.84%6.55%4.55%0.60%-12.46%-5.52%7.68%-0.57%1.53%-1.51%-7.03%
20201.79%0.13%-0.25%6.79%3.42%14.46%8.96%0.37%-5.64%0.77%0.48%7.05%43.73%
2019-1.84%15.53%5.47%0.14%-5.31%2.95%0.57%3.14%0.28%0.41%0.82%6.54%30.99%
2018-1.42%0.36%6.08%-2.58%-1.27%-8.06%-3.68%-6.73%-2.83%-9.17%3.37%-7.44%-29.60%
2017-3.47%2.48%-0.24%-5.10%-3.96%5.46%0.51%4.90%1.08%-0.47%-0.83%1.80%1.56%
2016-30.07%-3.77%20.17%-3.73%2.66%3.89%-5.45%2.76%-0.47%0.94%1.05%-3.91%-21.30%
20151.76%5.16%15.99%12.41%25.35%-19.90%-15.80%-16.44%-3.24%17.34%5.30%2.71%21.04%
2014-0.89%-2.12%-4.58%-0.13%0.80%2.38%3.23%0.88%7.58%0.58%2.30%11.22%22.31%
20134.34%-0.22%-2.63%-0.79%4.98%-3.88%2.92%0.00%4.69%-6.46%3.12%-1.51%3.89%
2012-3.64%5.89%-2.83%4.32%1.55%-0.51%0.10%-2.56%2.21%1.95%-4.44%8.65%10.28%
2011-4.25%3.28%-1.49%-1.23%-3.07%3.07%-0.77%-2.32%-5.85%2.21%-1.34%-2.51%-13.76%
2010-6.35%1.81%1.87%-3.59%-2.86%-3.83%5.52%5.91%4.20%-0.79%-1.95%-2.34%-3.23%
20092.70%5.51%9.74%3.90%6.87%18.03%13.29%-21.72%6.98%6.27%5.57%2.09%69.37%
2008-10.58%-1.56%-10.73%3.22%-6.32%-12.96%0.80%-8.58%-5.02%-18.62%7.34%2.24%-48.30%
2007--------7.66%1.39%14.86%15.08%3.93%6.90%-12.04%6.07%--