服务热线:400-8878-707
大成景旭纯债A(000152) 单位净值(2024-03-04):1.0907(0.09%) 购买

成立日期:2013-07-23 基金经理:-- 类型:债券型     大成基金 资产规模:0.53亿元(截止至:2023年12月31日)

基本概况 分红送配 基金持仓 规模变动 持有人结构 购买信息
费用分析
其他基金基金费率查询:

单位:万元

报告期费用合计管理人报酬占比托管费占比交易费占比销售服务费占比
2023-06-301,157.87401.1634.65%133.7211.55%------0.860.07%
2022-12-311,923.05901.6646.89%300.5515.63%------3.400.18%
2022-06-30721.77382.8953.05%127.6317.68%------2.220.31%
2021-12-311,860.21652.2035.06%217.4011.69%15.200.82%4.320.23%
2021-06-30945.08361.1138.21%120.3712.74%6.850.72%1.590.17%
2020-12-313,032.901,312.3943.27%437.4614.42%19.670.65%3.270.11%
2020-06-301,360.18528.0938.82%176.0312.94%9.440.69%1.780.13%
2019-12-314,367.201,660.0238.01%553.3412.67%16.170.37%34.000.78%
2019-06-302,610.121,075.0641.19%358.3513.73%9.650.37%28.841.11%
2018-12-31642.22284.2244.26%89.8813.99%6.551.02%59.989.34%
2018-06-30176.6455.8531.62%15.969.03%0.840.48%29.4616.68%
2017-12-31302.76127.9942.28%36.5712.08%0.600.20%62.4920.64%
2017-06-30146.0266.0945.26%18.8812.93%0.330.22%31.5321.59%
2016-12-311,093.15457.5941.86%130.7411.96%4.770.44%202.3318.51%
2016-06-30656.48287.2443.76%82.0712.50%2.420.37%111.7617.02%
2015-12-31528.69196.0837.09%56.0210.60%5.120.97%80.2815.18%
2015-06-30141.5637.7026.63%10.777.61%1.451.03%17.1412.11%
2014-12-31493.46106.4421.57%30.416.16%1.830.37%28.995.87%
2014-06-30304.4063.0320.71%18.015.92%1.050.35%12.824.21%
2013-12-31317.35165.3352.10%47.2414.88%0.370.12%50.2115.82%