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基金业绩

基金费率

投资组合

基金概况

财务数据

嘉实理财宝7天债券A(070035)

2020-12-18     0.02410.0000%
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
2020-06-300.000.00688.530.0015,098.91
2019-12-310.000.00125.950.0046,259.47
2019-06-300.000.00123.700.0026,563.94
2018-12-310.000.006,555.520.0066,757.14
2018-06-300.000.003,590.940.0030,659.95
2017-12-310.000.00358.060.0017,128.84
2017-06-300.000.00183.890.0013,792.92
2016-12-310.000.0069.180.00716.84
2016-06-300.000.007.230.00106.44
2015-12-310.000.00151.530.004,876.08
2015-06-300.000.00133.440.004,751.16
2014-12-310.000.00192.100.0015,143.31
2014-06-300.000.00190.860.006,030.25
2013-12-310.000.00700.400.0015,683.61
2013-06-300.000.00215.160.006,596.16
2012-12-310.000.00197.680.002,760.07