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中海进取收益混合(001252) 单位净值(2024-03-04):1.3250(1.15%) 购买

成立日期:2015-05-13 基金经理:-- 类型:混合型     中海基金 资产规模:0.61亿元(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
利润表
其他基金基金费率查询:
2018-12-312017-12-312016-12-312015-12-31
一、收入:-9,718,787.2116,090,455.0521,166,229.8798,919,481.33
1.利息收入55,871.784,497,349.4012,668,603.4422,533,400.81
其中:存款利息收入55,871.7879,234.581,547,763.3011,850,063.89
其中:债券利息收入---4,358,867.759,330,371.332,880.47
其中:资产支持证券利息收入------------
2.投资收益
(损失以'-'填列)
-6,624,655.797,813,036.501,089,203.9984,466,271.03
基中:股票投资收益-6,977,723.9512,122,379.761,769,338.4983,323,516.55
基中:基金投资收益------------
基中:债券投资收益----6,100,563.62-954,527.31616,685.47
其中:资产支持证券投资收益------------
其中:衍生工具收益------------
其中:股利收益353,068.161,791,220.36274,392.81526,069.01
3.公允价值变动收益
(损失以'-'填列)
-3,165,403.753,777,191.117,408,085.45-8,362,251.02
4.汇兑收益
(损失以'-'填列)
------------
5.其他收入
(损失以'-'填列)
15,400.552,878.04336.99282,060.51
减:二、费用1,868,576.034,003,988.038,644,987.2329,370,712.35
1.管理人报酬405,474.131,734,988.494,417,103.5918,513,165.40
2.托管费101,368.43433,747.171,104,275.874,628,291.28
3.销售服务费101,368.43433,747.171,104,275.874,628,291.28
4.交易费用878,165.04799,428.63564,048.371,240,564.39
5.利息支出---219,876.571,066,563.53---
其中:卖出回购金融资产支出---219,876.571,066,563.53---
6.其他费用382,200.00382,200.00388,720.00360,400.00
三、利润总额
(亏损总额以'-'号填列)
-11,587,363.2412,086,467.0212,521,242.6469,548,768.98
减:所得税费用------------
四、净利润
(亏损总额以'-'号填列)
-11,587,363.2412,086,467.0212,521,242.6469,548,768.98