服务热线:400-8878-707
中海量化策略混合(398041) 单位净值(2024-03-04):1.1450(0.70%) 购买

成立日期:2009-06-24 基金经理:-- 类型:混合型     中海基金 资产规模:2.13亿元(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
2023-06-30216.73177.7382.01%29.6213.67%------------
2022-12-31518.91426.3282.16%71.0513.69%------------
2022-06-30287.90237.8382.61%39.6413.77%------------
2021-12-311,296.39725.0755.93%120.859.32%409.1731.56%------
2021-06-30519.81359.0169.07%59.8311.51%72.9614.04%------
2020-12-311,454.63854.9658.78%142.499.80%397.3027.31%------
2020-06-30632.97342.7354.15%57.129.02%206.5832.64%------
2019-12-31805.75450.9755.97%75.169.33%239.4629.72%------
2019-06-30321.07183.4057.12%30.579.52%94.0429.29%------
2018-12-31317.28167.3452.74%27.898.79%106.6733.62%------
2018-06-30107.9055.1051.06%9.188.51%35.9933.35%------
2017-12-31318.96141.3044.30%23.557.38%138.6943.48%------
2017-06-30187.9684.9445.19%14.167.53%81.4443.33%------
2016-12-31603.98109.0118.05%18.173.01%456.9075.65%------
2016-06-30264.3852.4019.82%8.733.30%193.3473.13%------
2015-12-31965.00220.9222.89%36.823.82%671.3569.57%------
2015-06-30636.75165.0225.92%27.504.32%426.4066.97%------
2014-12-311,036.17237.4122.91%39.573.82%706.2768.16%------
2014-06-30416.01116.9328.11%19.494.68%243.3158.49%------
2013-12-31963.13322.4833.48%53.755.58%541.8256.26%------
2013-06-30559.71179.0431.99%29.845.33%332.0359.32%------
2012-12-311,131.38623.3355.09%103.899.18%366.6132.40%------
2012-06-30654.58351.3253.67%58.558.95%226.6134.62%0.000.00%
2011-12-312,437.721,062.0043.57%177.007.26%1,158.7947.54%0.000.00%
2011-06-301,129.39531.1247.03%88.527.84%488.9743.29%0.000.00%
2010-12-313,395.261,320.2538.89%220.046.48%1,805.5753.18%0.000.00%
2010-06-302,016.76788.9339.12%131.496.52%1,070.8353.10%0.000.00%
2009-12-313,559.851,227.6734.49%204.615.75%2,100.5059.01%0.000.00%