服务热线:400-8878-707
博时信用债券C(050111) 单位净值(2024-03-04):2.7610(-0.18%) 购买

成立日期:2009-06-10 基金经理:-- 类型:债券型     博时基金 资产规模:12.07亿元(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
2023-06-304,193.362,364.9556.40%675.7016.11%------283.146.75%
2022-12-3110,289.075,420.2752.68%1,548.6515.05%------564.775.49%
2022-06-305,468.562,969.8554.31%848.5315.52%------288.155.27%
2021-12-3111,175.315,048.8245.18%1,442.5212.91%762.206.82%570.795.11%
2021-06-304,119.182,177.3552.86%622.1015.10%392.369.53%238.735.80%
2020-12-313,818.681,719.2945.02%491.2212.86%260.956.83%220.415.77%
2020-06-301,707.60768.8945.03%219.6812.87%145.208.50%90.315.29%
2019-12-312,415.551,172.9148.56%335.1213.87%107.434.45%159.666.61%
2019-06-30979.83456.1546.55%130.3313.30%37.803.86%69.547.10%
2018-12-312,440.23891.8436.55%254.8110.44%80.753.31%133.175.46%
2018-06-301,306.50475.5336.40%135.8710.40%43.653.34%69.365.31%
2017-12-314,097.931,753.0042.78%500.8612.22%132.263.23%319.847.80%
2017-06-302,098.54990.7447.21%283.0713.49%95.894.57%186.908.91%
2016-12-313,667.231,475.7840.24%421.6511.50%144.103.93%243.626.64%
2016-06-301,583.27514.2032.48%146.929.28%13.300.84%74.194.69%
2015-12-312,829.82860.6730.41%245.918.69%192.356.80%213.567.55%
2015-06-301,670.62539.6932.30%154.209.23%153.789.21%154.169.23%
2014-12-311,876.84350.4918.67%100.145.34%37.592.00%79.164.22%
2014-06-30870.49185.2221.28%52.926.08%11.171.28%32.053.68%
2013-12-312,307.54486.2921.07%138.946.02%48.642.11%132.205.73%
2013-06-301,186.27280.3223.63%80.096.75%28.302.39%74.056.24%
2012-12-312,252.64606.1026.91%173.177.69%64.252.85%140.996.26%
2012-06-301,114.30314.5628.23%89.888.07%23.322.09%73.276.58%
2011-12-312,886.69982.0534.02%280.599.72%80.512.79%208.857.24%
2011-06-301,552.41566.3436.48%161.8110.42%45.912.96%115.297.43%
2010-12-312,428.37980.4840.38%280.1411.54%272.5711.22%354.1314.58%
2010-06-30959.02421.7743.98%120.5112.57%101.4210.57%163.3117.03%
2009-12-311,285.99662.9451.55%189.4114.73%119.509.29%266.8720.75%