服务热线:400-8878-707
南方广利债券C(202107) 单位净值(2024-03-04):1.4770(0.20%) 购买

成立日期:2010-11-03 基金经理:-- 类型:债券型     南方基金 资产规模:6.44亿元(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
2023-06-304,386.451,786.4240.73%549.6712.53%------140.983.21%
2022-12-3110,719.334,594.6042.86%1,413.7213.19%------452.664.22%
2022-06-305,733.732,553.5544.54%785.7113.70%------219.393.83%
2021-12-314,578.901,998.5243.65%614.9313.43%431.309.42%160.953.51%
2021-06-301,339.55622.5546.47%191.5514.30%142.2810.62%53.884.02%
2020-12-312,136.61917.1142.92%282.1913.21%286.4313.41%107.385.03%
2020-06-30827.37368.3244.52%113.3313.70%120.8314.60%63.967.73%
2019-12-31955.51273.5528.63%84.178.81%135.3214.16%61.016.38%
2019-06-30480.40132.0227.48%40.628.46%73.3115.26%28.015.83%
2018-12-311,198.74325.2827.14%100.098.35%164.5513.73%64.425.37%
2018-06-30679.53173.5225.54%53.397.86%108.9016.03%36.355.35%
2017-12-311,910.86564.9229.56%173.829.10%316.5616.57%106.695.58%
2017-06-30890.44318.8435.81%98.1111.02%103.6611.64%60.436.79%
2016-12-313,455.311,119.5332.40%344.479.97%303.188.77%235.986.83%
2016-06-301,821.02576.2831.65%177.329.74%131.747.23%124.206.82%
2015-12-314,951.491,644.0533.20%505.8610.22%766.6115.48%421.798.52%
2015-06-303,034.951,042.9734.37%320.9110.57%477.3215.73%257.258.48%
2014-12-313,875.97685.9317.70%211.065.45%330.128.52%157.744.07%
2014-06-301,400.71220.1515.72%67.744.84%85.886.13%50.883.63%
2013-12-313,990.56780.3419.55%240.106.02%383.429.61%213.945.36%
2013-06-302,218.92473.4621.34%145.686.57%187.978.47%131.345.92%
2012-12-314,123.891,017.9024.68%313.207.59%601.4614.58%310.557.53%
2012-06-301,913.72462.9724.19%142.457.44%211.8411.07%141.867.41%
2011-12-314,438.621,365.1730.76%420.059.46%380.398.57%422.089.51%
2011-06-302,251.30803.0735.67%247.1010.98%276.5312.28%263.2111.69%