服务热线:400-8878-707
南方优选价值混合A(202011) 单位净值(2024-03-04):0.8250(0.61%) 购买

成立日期:2008-06-18 基金经理:-- 类型:混合型     南方基金 资产规模:8.84亿元(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
2023-06-30986.07831.3584.31%138.5614.05%------4.790.49%
2022-12-312,137.231,804.1784.42%300.6914.07%------10.430.49%
2022-06-301,066.09899.9784.42%150.0014.07%------4.750.45%
2021-12-314,904.402,443.2849.82%407.218.30%2,017.4441.14%13.490.28%
2021-06-302,492.021,261.4950.62%210.258.44%1,001.9440.21%6.920.28%
2020-12-315,441.602,785.6351.19%464.278.53%2,153.9539.58%14.800.27%
2020-06-302,644.281,200.2545.39%200.047.57%1,227.4146.42%4.660.18%
2019-12-314,179.731,944.1746.51%324.037.75%1,886.8945.14%1.140.03%
2019-06-302,204.10930.3542.21%155.067.04%1,106.5650.20%0.210.01%
2018-12-315,038.572,316.1245.97%386.027.66%2,294.9845.55%0.000.00%
2018-06-302,792.801,195.0342.79%199.177.13%1,378.0349.34%------
2017-12-315,011.382,018.6640.28%336.446.71%2,614.8452.18%------
2017-06-301,943.35789.2140.61%131.546.77%1,002.3251.58%------
2016-12-314,176.411,436.4434.39%239.415.73%2,459.6658.89%------
2016-06-302,207.14703.2331.86%117.205.31%1,365.8661.88%------
2015-12-314,770.701,924.7040.34%320.786.72%2,484.6452.08%------
2015-06-302,195.661,172.3053.39%195.388.90%808.0336.80%------
2014-12-313,539.562,255.4963.72%375.9210.62%866.5024.48%------
2014-06-301,648.661,202.9672.97%200.4912.16%224.2913.60%------
2013-12-313,579.082,561.9071.58%426.9811.93%549.0915.34%------
2013-06-301,959.261,385.8970.74%230.9811.79%322.2216.45%------
2012-12-313,666.492,636.1471.90%439.3611.98%549.7314.99%------
2012-06-301,977.931,394.1670.49%232.3611.75%330.7616.72%0.000.00%
2011-12-315,574.243,915.9870.25%652.6611.71%963.5717.29%0.000.00%
2011-06-303,014.322,067.5768.59%344.5911.43%580.8919.27%0.000.00%
2010-12-312,962.941,852.0362.51%308.6710.42%761.2125.69%0.000.00%
2010-06-30917.88591.3764.43%98.5610.74%209.6222.84%0.000.00%
2009-12-311,576.16776.7149.28%129.458.21%633.0740.17%0.000.00%
2009-06-30850.63405.0747.62%67.517.94%358.5442.15%0.000.00%
2008-12-311,258.92730.2258.00%121.709.67%382.0830.35%0.000.00%