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基金业绩

基金费率

投资组合

基金概况

财务数据

海富通融丰定开债券(005277)

2024-10-08     1.0501-0.2091%
收入分析
单位:万元
报告期 证券买卖差价收入 投资收益 回购收入 其他收入 合计
2024-06-300.000.009.070.004,792.39
2023-12-310.000.0014.260.006,824.58
2023-06-300.000.006.300.003,694.24
2022-12-310.000.0015.530.006,761.98
2022-06-300.000.002.960.004,138.53
2021-12-310.000.0017.950.009,281.17
2021-06-300.000.0015.310.004,261.85
2020-12-310.000.0054.410.006,163.16
2020-06-300.000.000.390.004,714.12
2019-12-310.000.0037.780.006,709.01
2019-06-300.000.0030.060.002,570.74
2018-12-310.000.0032.430.007,503.61
2018-06-300.000.0017.810.001,930.94