服务热线:400-8878-707
华商稳定增利债券A(630009) 单位净值(2024-03-04):1.7980(-0.06%) 购买

成立日期:2011-03-15 基金经理:-- 类型:债券型     华商基金 资产规模:12.01亿元(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
2023-06-302,086.61861.7341.30%246.2111.80%------79.453.81%
2022-12-317,059.533,863.5354.73%1,103.8615.64%------464.146.57%
2022-06-303,762.962,186.9158.12%624.8316.60%------266.337.08%
2021-12-317,925.092,798.1735.31%799.4810.09%3,105.5939.19%325.334.11%
2021-06-303,126.111,085.1134.71%310.039.92%1,268.0140.56%129.794.15%
2020-12-312,433.05781.5732.12%223.319.18%994.8040.89%118.774.88%
2020-06-301,046.43324.0930.97%92.608.85%442.1842.26%55.135.27%
2019-12-31495.10169.9734.33%48.569.81%164.3733.20%44.238.93%
2019-06-30224.3478.8735.15%22.5310.04%56.9125.37%20.899.31%
2018-12-312,407.72893.0537.09%255.1610.60%528.8321.96%179.957.47%
2018-06-301,789.53660.0636.88%188.5910.54%401.6222.44%147.658.25%
2017-12-311,235.86427.8234.62%122.239.89%449.8336.40%83.076.72%
2017-06-30347.31146.7142.24%41.9212.07%66.9219.27%13.003.74%
2016-12-31724.84289.7239.97%82.7811.42%171.6123.68%29.964.13%
2016-06-30427.96150.3235.13%42.9510.04%119.2827.87%18.194.25%
2015-12-31768.15234.3630.51%66.968.72%105.8213.78%38.655.03%
2015-06-30390.0788.6922.74%25.346.50%46.9212.03%18.924.85%
2014-12-31698.78139.1919.92%39.775.69%20.082.87%24.263.47%
2014-06-30372.7072.1019.35%20.605.53%10.242.75%12.003.22%
2013-12-31727.22258.3135.52%73.8010.15%52.257.18%44.946.18%
2013-06-30457.32153.8033.63%43.949.61%39.498.64%26.915.88%
2012-12-311,491.12731.9049.08%209.1114.02%143.249.61%147.879.92%
2012-06-30838.24463.4955.29%132.4315.80%70.268.38%92.7311.06%
2011-12-312,715.921,099.6440.49%314.1811.57%175.586.46%241.018.87%
2011-06-30942.15519.6655.16%148.4715.76%43.754.64%131.5913.97%