服务热线:400-8878-707
易方达恒久添利1年定开债券A(000265) 单位净值(2024-03-04):1.0400(0.00%) 购买

成立日期:2014-09-10 基金经理:-- 类型:债券型     易方达基金 资产规模:17.23亿元(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
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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
2023-06-302,000.86377.7518.88%251.8412.59%------1.440.07%
2022-12-313,197.24716.4322.41%477.6214.94%------2.900.09%
2022-06-301,812.93347.6019.17%231.7312.78%------1.460.08%
2021-12-312,450.80487.9019.91%325.2713.27%4.240.17%4.050.17%
2021-06-301,157.20197.9017.10%131.9311.40%1.200.10%2.280.20%
2020-12-312,012.02351.7617.48%234.5111.66%1.880.09%8.480.42%
2020-06-30985.75167.5317.00%111.6911.33%0.480.05%5.160.52%
2019-12-312,185.91307.5714.07%205.059.38%5.790.27%9.960.46%
2019-06-301,129.76146.8012.99%97.878.66%3.510.31%4.890.43%
2018-12-313,036.24501.8316.53%334.5511.02%6.110.20%21.680.71%
2018-06-301,773.03291.5716.44%194.3810.96%2.500.14%13.390.76%
2017-12-315,135.511,273.1924.79%580.0111.29%8.290.16%91.711.79%
2017-06-301,984.65887.2744.71%322.7416.26%4.780.24%59.362.99%
2016-12-311,844.30742.6040.26%212.1711.50%3.450.19%47.582.58%
2016-06-30169.3152.5431.03%15.018.87%0.040.02%7.814.61%
2015-12-311,085.17324.6129.91%92.758.55%1.100.10%73.996.82%
2015-06-30775.83208.7726.91%59.657.69%0.250.03%49.416.37%
2014-12-31517.35126.2424.40%36.076.97%0.710.14%29.915.78%