服务热线:400-8878-707
广发纯债债券C(270049) 单位净值(2024-03-04):1.2432(0.04%) 购买

成立日期:2012-12-12 基金经理:-- 类型:债券型     广发基金 资产规模:27.34亿元(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
2023-06-305,135.811,456.2428.35%485.419.45%------235.604.59%
2022-12-318,989.052,952.1232.84%984.0410.95%------513.335.71%
2022-06-304,139.811,223.5129.55%407.849.85%------228.675.52%
2021-12-314,448.971,706.2638.35%506.5611.39%12.550.28%189.904.27%
2021-06-301,693.96721.2242.58%206.0612.16%4.750.28%84.304.98%
2020-12-311,519.68628.9041.38%179.6811.82%6.980.46%78.355.16%
2020-06-30554.30226.1240.79%64.6111.66%2.330.42%44.938.11%
2019-12-311,593.17588.1836.92%168.0510.55%2.050.13%127.377.99%
2019-06-30774.56314.5740.61%89.8811.60%1.280.17%71.759.26%
2018-12-312,897.511,011.0334.89%288.879.97%2.540.09%137.274.74%
2018-06-301,375.21490.3235.65%140.0910.19%1.090.08%60.634.41%
2017-12-313,528.271,255.4235.58%358.6910.17%2.720.08%221.566.28%
2017-06-301,855.65711.7638.36%203.3610.96%1.560.08%135.827.32%
2016-12-318,959.633,758.3041.95%1,073.8011.98%6.510.07%1,098.9112.27%
2016-06-305,474.052,136.3539.03%610.3911.15%3.010.05%692.1012.64%
2015-12-315,839.611,675.8228.70%478.818.20%9.580.16%574.919.84%
2015-06-302,441.74405.8116.62%115.954.75%1.770.07%79.563.26%
2014-12-312,553.05402.3715.76%114.964.50%3.830.15%130.185.10%
2014-06-30809.04114.5914.16%32.744.05%1.120.14%47.215.84%
2013-12-313,611.99906.8225.11%259.097.17%5.170.14%421.1911.66%
2013-06-302,324.61689.4929.66%197.008.47%4.380.19%328.1514.12%