服务热线:400-8878-707
汇添富安心中国债券A(000395) 单位净值(2024-03-04):1.4011(0.05%) 购买

成立日期:2013-11-22 基金经理:-- 类型:债券型     汇添富基金 资产规模:0.80亿元(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
2023-06-3080.8550.8662.91%14.5317.98%------4.705.81%
2022-12-31226.33147.1765.03%42.0518.58%------13.816.10%
2022-06-30117.6576.2964.84%21.8018.53%------7.866.68%
2021-12-31244.14155.2063.57%44.3418.16%0.540.22%17.157.02%
2021-06-30119.7376.3163.74%21.8018.21%0.180.15%8.156.81%
2020-12-31295.83179.5860.70%51.3117.34%0.990.33%17.295.84%
2020-06-30156.8192.1758.78%26.3316.79%0.770.49%8.425.37%
2019-12-31385.00172.1044.70%49.1712.77%0.980.25%14.053.65%
2019-06-30173.5588.5451.02%25.3014.58%0.720.41%7.774.48%
2018-12-31262.12162.8162.11%46.5217.75%0.510.19%6.652.54%
2018-06-30117.1871.2360.79%20.3517.37%0.300.26%1.140.97%
2017-12-31216.21135.1762.52%38.6217.86%0.280.13%3.661.69%
2017-06-30108.4267.7562.48%19.3617.85%0.120.11%2.242.07%
2016-12-31296.58182.0961.40%52.0317.54%0.360.12%10.963.70%
2016-06-30169.21104.4661.73%29.8517.64%0.160.10%7.544.46%
2015-12-31260.73159.4661.16%45.5617.47%0.700.27%10.694.10%
2015-06-30106.7964.7760.65%18.5017.33%0.180.17%1.711.60%
2014-12-31221.67125.9556.82%35.9916.23%0.750.34%5.732.58%
2014-06-30112.3660.3553.71%17.2415.35%0.450.40%4.353.87%