行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

华夏希望债券C(001013)

2024-04-23     1.27360.0786%
席位交易
单位:万元
报告期 股票交易 债券交易 回购交易 合计 佣金
2023-12-31187,374.88100,070.815,015,139.405,221,063.71137.42
2023-06-30123,741.2557,061.413,063,333.903,099,279.8690.49
2022-12-31303,660.23111,393.423,013,147.903,313,156.85196.35
2022-06-30148,616.2443,660.131,382,389.901,516,449.42108.68
2021-12-31305,835.4968,135.912,731,761.503,044,842.61224.01
2021-06-30122,103.6512,965.91731,784.70829,038.9589.65
2020-12-31308,189.3429,856.052,624,715.002,710,528.15220.25
2020-06-30153,407.4719,990.38989,640.00956,041.24112.19
2019-12-31241,440.7227,731.622,993,605.802,987,794.39176.06
2019-06-30120,301.8118,667.911,006,515.801,145,485.5187.47
2018-12-31239,205.0268,399.482,705,212.502,988,580.07173.91
2018-06-30133,200.8629,081.891,398,750.001,556,244.6997.41
2017-12-31139,544.3712,032.373,104,796.103,228,371.49100.36
2017-06-3038,519.186,279.551,440,800.001,425,060.5726.48
2016-12-31168,198.738,678.325,241,972.805,418,849.8576.35
2016-06-30108,286.316,907.781,539,550.001,654,744.0948.85
2015-12-31518,901.6582,624.294,212,720.004,711,700.81205.91
2015-06-30316,013.1258,459.323,124,720.003,482,669.1160.81
2014-12-3145,791.94155,143.065,904,880.006,098,297.075.06
2014-06-307,669.3451,325.052,821,280.002,874,881.760.85
2013-12-3123,078.05251,727.418,352,680.008,627,485.477.35
2013-06-3013,086.04178,127.543,562,770.003,753,983.586.25
2012-12-3159,048.30254,708.8417,034,639.0017,348,396.1450.14
2012-06-3041,043.98117,682.376,584,364.806,743,091.1534.45
2011-12-31168,671.86495,144.589,900,630.0010,379,009.61139.65