服务热线:400-8878-707
中海稳健债券(395001) 单位净值(2024-03-04):1.0570(0.00%) 购买

成立日期:2008-04-10 基金经理:-- 类型:债券型     中海基金 资产规模:4.91亿元(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
2023-06-30173.1179.0445.66%26.3515.22%------46.1126.63%
2022-12-3135.0413.3238.01%4.4412.67%------7.7722.17%
2022-06-3018.326.8637.44%2.2912.48%------4.0021.84%
2021-12-3160.9024.6240.42%8.2113.47%2.093.43%14.3623.58%
2021-06-3036.5612.6734.64%4.2211.55%0.892.45%7.3920.21%
2020-12-31134.2954.3140.44%18.1013.48%3.172.36%31.6823.59%
2020-06-3090.2637.9942.10%12.6614.03%2.032.25%22.1624.56%
2019-12-31142.6047.6733.43%15.8911.14%1.671.17%27.8119.50%
2019-06-3066.3118.4527.82%6.159.27%0.560.84%10.7616.23%
2018-12-31109.1927.4425.13%9.158.38%0.770.70%16.0114.66%
2018-06-3053.5712.9824.22%4.338.07%0.400.75%7.5714.13%
2017-12-31116.7435.2630.21%11.7510.07%1.150.98%20.5717.62%
2017-06-3062.2220.7233.30%6.9111.10%0.871.39%12.0919.42%
2016-12-31572.98250.4843.71%83.4914.57%2.630.46%146.1125.50%
2016-06-30147.3258.2839.56%19.4313.19%1.771.20%34.0023.08%
2015-12-31232.8351.8322.26%17.287.42%2.991.28%30.2312.98%
2015-06-30136.6528.2520.67%9.426.89%2.141.57%16.4812.06%
2014-12-31314.9259.7018.96%19.906.32%7.742.46%34.8311.06%
2014-06-30129.2228.9922.43%9.667.48%2.401.86%16.9113.09%
2013-12-31284.93120.1442.17%40.0514.06%4.491.58%70.0824.60%
2013-06-30177.4980.3345.26%26.7815.09%3.702.09%46.8626.40%
2012-12-31391.62166.1442.43%55.3814.14%9.382.40%96.9224.75%
2012-06-30210.5484.9940.37%28.3313.46%5.332.53%49.5823.55%
2011-12-31771.56298.0438.63%99.3512.88%37.524.86%173.8522.53%
2011-06-30534.22201.1137.65%67.0412.55%24.174.52%117.3121.96%
2010-12-311,315.24491.8037.39%163.9312.46%43.573.31%286.8921.81%
2010-06-30563.76241.4342.82%80.4814.27%18.083.21%140.8324.98%
2009-12-311,687.38750.3244.47%250.1114.82%80.224.75%437.6825.94%
2009-06-301,078.41541.4950.21%180.5016.74%16.981.57%315.8729.29%
2008-12-312,866.021,195.4241.71%398.4713.90%23.830.83%697.3324.33%
2008-06-30966.21334.8934.66%111.6311.55%6.230.64%195.3520.22%