姜月

建信基金管理有限责任公司
管理/从业年限3.4 年/12 年非债券基金资产规模/总资产规模0 / 208.42亿当前/累计管理基金个数7 / 7基金经理风格债券型管理基金以来年化收益率2.15%
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姜月 - 管理的基金

基金名称(13) 总资产规模管理与管托费用率任职日期离任日期任职时长今年以来投资收益率沪深300 今年以来投资收益率年化投资收益率沪深300年化投资收益率总投资收益率沪深300总投资收益率
建信利率债债券A
530014.jj
1.18亿0.30% + 0.05% = 0.35%
2025-06-30
2023-08-24 -- 2年5个月任职表现1.12%0.66%1.19%9.51%2.96%25.16%
建信利率债债券C
024649.jj
300.83万0.30% + 0.05% = 0.35%
2025-06-30
2025-06-24 -- 0年7个月任职表现1.08%0.66%-4.39%19.37%-4.39%19.37%
建信睿享纯债债券C
017789.jj
81.05万0.30% + 0.10% = 0.40%
2025-06-30
2023-02-02 -- 3年0个月任职表现0.48%0.66%2.92%3.65%9.13%11.46%
建信裕丰利率债三个月定期开放债券C
011947.jj
1,690.720.30% + 0.10% = 0.40%
2025-06-30
2024-02-22 -- 1年11个月任职表现0.29%0.66%1.43%15.82%2.85%33.66%
建信裕丰利率债三个月定期开放债券A
011946.jj
1.79亿0.30% + 0.10% = 0.40%
2025-06-30
2024-02-22 -- 1年11个月任职表现0.30%0.66%1.68%15.82%3.34%33.66%
建信利率债策略纯债债券C
010768.jj
5,070.40万0.30% + 0.10% = 0.40%
2025-09-25
2024-01-29 -- 2年0个月任职表现0.44%0.66%16.96%18.35%37.70%41.06%
建信利率债策略纯债债券A
010767.jj
2.47亿0.30% + 0.10% = 0.40%
2025-09-25
2024-01-29 -- 2年0个月任职表现0.49%0.66%2.29%18.35%4.74%41.06%
建信荣瑞一年定期开放债券
007830.jj
79.99亿0.15% + 0.05% = 0.20%
2025-06-30
2024-02-22 -- 1年11个月任职表现0.12%0.66%1.73%15.82%3.45%33.66%
建信中债1-3年国开行债券指数C
007027.jj
4,549.69万0.15% + 0.05% = 0.20%
2025-06-30
2024-06-27 -- 1年7个月任职表现0.26%0.66%1.60%20.19%2.62%34.92%
建信中债1-3年国开行债券指数A
007026.jj
87.20亿0.15% + 0.05% = 0.20%
2025-06-30
2024-06-27 -- 1年7个月任职表现0.27%0.66%1.70%20.19%2.78%34.92%
建信睿享纯债债券A
003681.jj
15.44亿0.30% + 0.10% = 0.40%
2025-06-30
2022-09-13 -- 3年5个月任职表现0.49%0.66%2.69%3.74%9.49%13.36%
建信安心回报定期开放债券C
000106.jj
1,227.77万0.30% + 0.10% = 0.40%
2025-06-30
2023-11-10 -- 2年3个月任职表现0.39%0.66%2.13%12.30%4.86%29.94%
建信安心回报定期开放债券A
000105.jj
19.24亿0.30% + 0.10% = 0.40%
2025-06-30
2023-11-10 -- 2年3个月任职表现0.38%0.66%2.24%12.30%5.14%29.94%