中海基金管理有限公司
Zhong Hai Fund Management Co., Ltd.
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旗下基金费用分析详情
其他公司旗下基金费用分析详情查询:
中海基金 2020年4季度 费用分析 基金明细一览 (全部)
截止至:2020-12-31
序号 | 基金代码 | 基金名称 | 相关资讯 | 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 |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 | 000003 | 中海可转债债券A | 详情 | 373.61 | 123.19 | 32.97% | 32.85 | 8.79% | 10.02 | 2.68% | 28.46 | 7.62% |
2 | 000004 | 中海可转债债券C | 详情 | 373.61 | 123.19 | 32.97% | 32.85 | 8.79% | 10.02 | 2.68% | 28.46 | 7.62% |
3 | 000166 | 中海信息产业精选混合 | 详情 | 350.62 | 146.79 | 41.87% | 24.47 | 6.98% | 165.81 | 47.29% | - | - |
4 | 000298 | 中海纯债债券A | 详情 | 39.82 | 15.65 | 39.31% | 4.47 | 11.23% | 1.21 | 3.04% | 7.61 | 19.11% |
5 | 000299 | 中海纯债债券C | 详情 | 39.82 | 15.65 | 39.31% | 4.47 | 11.23% | 1.21 | 3.04% | 7.61 | 19.11% |
6 | 000316 | 中海瑞利六个月定开债 | 详情 | 257.70 | 170.97 | 66.34% | 42.74 | 16.59% | 10.77 | 4.18% | - | - |
7 | 000597 | 中海积极收益混合 | 详情 | 422.13 | 128.76 | 30.50% | 40.24 | 9.53% | 215.58 | 51.07% | 16.19 | 3.83% |
8 | 000674 | 中海中短债债券 | 详情 | 186.36 | 94.62 | 50.78% | 31.54 | 16.93% | 1.08 | 0.58% | - | - |
9 | 000878 | 中海医药健康产业精选混合A | 详情 | 3,075.07 | 1,560.78 | 50.76% | 260.13 | 8.46% | 953.75 | 31.02% | 276.08 | 8.98% |
10 | 000879 | 中海医药健康产业精选混合C | 详情 | 3,075.07 | 1,560.78 | 50.76% | 260.13 | 8.46% | 953.75 | 31.02% | 276.08 | 8.98% |
11 | 001252 | 中海进取收益混合 | 详情 | 123.50 | 36.92 | 29.90% | 9.23 | 7.47% | 54.89 | 44.45% | 9.23 | 7.47% |
12 | 001279 | 中海积极增利混合 | 详情 | 400.34 | 175.54 | 43.85% | 29.26 | 7.31% | 175.32 | 43.79% | - | - |
13 | 001574 | 中海混改红利混合 | 详情 | 86.63 | 32.31 | 37.29% | 5.38 | 6.22% | 42.44 | 48.99% | - | - |
14 | 001864 | 中海魅力长三角混合 | 详情 | 175.18 | 94.05 | 53.69% | 15.68 | 8.95% | 50.54 | 28.85% | - | - |
15 | 002213 | 中海顺鑫灵活配置混合 | 详情 | 713.51 | 156.95 | 22.00% | 26.16 | 3.67% | 506.84 | 71.03% | 10.46 | 1.47% |
16 | 002214 | 中海沪港深价值优选混合 | 详情 | 202.14 | 114.77 | 56.78% | 19.13 | 9.46% | 53.58 | 26.51% | - | - |
17 | 002965 | 中海合嘉增强收益债券A | 详情 | 31.55 | 9.86 | 31.24% | 2.96 | 9.37% | 4.71 | 14.93% | 1.20 | 3.80% |
18 | 002966 | 中海合嘉增强收益债券C | 详情 | 31.55 | 9.86 | 31.24% | 2.96 | 9.37% | 4.71 | 14.93% | 1.20 | 3.80% |
19 | 004219 | 中海添顺定期开放混合 | 详情 | 12.30 | 4.76 | 38.74% | 1.19 | 9.68% | 0.00 | 0.01% | - | - |
20 | 005252 | 中海添瑞定开混合 | 详情 | 16.82 | 8.93 | 53.10% | 2.23 | 13.28% | 0.00 | 0.01% | 1.12 | 6.64% |
21 | 005646 | 中海沪港深多策略灵活配置混合 | 详情 | 91.72 | 34.20 | 37.29% | 7.33 | 7.99% | 28.82 | 31.42% | 14.66 | 15.98% |
22 | 163907 | 中海惠裕纯债发起式 | 详情 | 150.49 | 93.37 | 62.04% | 26.68 | 17.73% | 4.65 | 3.09% | - | - |
23 | 392001 | 中海货币A | 详情 | 580.64 | 353.41 | 60.87% | 107.09 | 18.44% | - | - | 61.34 | 10.56% |
24 | 392002 | 中海货币B | 详情 | 580.64 | 353.41 | 60.87% | 107.09 | 18.44% | - | - | 61.34 | 10.56% |
25 | 393001 | 中海优势精选灵活配置混合 | 详情 | 191.41 | 123.48 | 64.51% | 20.58 | 10.75% | 38.13 | 19.92% | - | - |
26 | 395001 | 中海稳健收益债券 | 详情 | 134.29 | 54.31 | 40.44% | 18.10 | 13.48% | 3.17 | 2.36% | 31.68 | 23.59% |
27 | 395011 | 中海增强收益债券A | 详情 | 139.64 | 61.52 | 44.06% | 20.51 | 14.69% | 10.54 | 7.55% | 15.67 | 11.22% |
28 | 395012 | 中海增强收益债券C | 详情 | 139.64 | 61.52 | 44.06% | 20.51 | 14.69% | 10.54 | 7.55% | 15.67 | 11.22% |
29 | 398001 | 中海优质成长混合 | 详情 | 5,712.37 | 3,231.56 | 56.57% | 538.59 | 9.43% | 1,918.38 | 33.58% | - | - |
30 | 398011 | 中海分红增利混合 | 详情 | 2,208.78 | 889.81 | 40.29% | 148.30 | 6.71% | 1,148.54 | 52.00% | - | - |
31 | 398021 | 中海能源策略混合 | 详情 | 3,773.18 | 1,758.93 | 46.62% | 293.16 | 7.77% | 1,697.33 | 44.98% | - | - |
32 | 398031 | 中海蓝筹混合 | 详情 | 221.61 | 128.33 | 57.91% | 21.39 | 9.65% | 59.12 | 26.68% | - | - |
33 | 398041 | 中海量化策略混合 | 详情 | 1,454.63 | 854.96 | 58.78% | 142.49 | 9.80% | 397.30 | 27.31% | - | - |
34 | 398051 | 中海环保新能源混合 | 详情 | 577.09 | 295.99 | 51.29% | 49.33 | 8.55% | 216.83 | 37.57% | - | - |
35 | 398061 | 中海消费混合 | 详情 | 1,410.51 | 659.76 | 46.77% | 109.96 | 7.80% | 622.12 | 44.11% | - | - |
36 | 399001 | 中海上证50指数增强 | 详情 | 464.62 | 263.83 | 56.78% | 52.77 | 11.36% | 113.64 | 24.46% | - | - |
37 | 399011 | 中海医疗保健主题股票 | 详情 | 3,874.66 | 2,057.68 | 53.11% | 342.95 | 8.85% | 1,452.06 | 37.48% | - | - |
中海基金 2020年2季度 费用分析 基金明细一览 (全部)
截止至:2020-06-30
序号 | 基金代码 | 基金名称 | 相关资讯 | 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 |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 | 000003 | 中海可转债债券A | 详情 | 141.02 | 48.85 | 34.64% | 13.03 | 9.24% | 4.92 | 3.49% | 9.52 | 6.75% |
2 | 000004 | 中海可转债债券C | 详情 | 141.02 | 48.85 | 34.64% | 13.03 | 9.24% | 4.92 | 3.49% | 9.52 | 6.75% |
3 | 000166 | 中海信息产业精选混合 | 详情 | 173.94 | 72.10 | 41.45% | 12.02 | 6.91% | 83.06 | 47.76% | - | - |
4 | 000298 | 中海纯债债券A | 详情 | 37.74 | 13.60 | 36.04% | 3.89 | 10.30% | 0.95 | 2.53% | 6.76 | 17.91% |
5 | 000299 | 中海纯债债券C | 详情 | 37.74 | 13.60 | 36.04% | 3.89 | 10.30% | 0.95 | 2.53% | 6.76 | 17.91% |
6 | 000316 | 中海瑞利六个月定开债 | 详情 | 200.21 | 144.19 | 72.02% | 36.05 | 18.01% | 5.90 | 2.95% | - | - |
7 | 000597 | 中海积极收益混合 | 详情 | 174.23 | 51.73 | 29.69% | 16.17 | 9.28% | 92.73 | 53.22% | 3.23 | 1.86% |
8 | 000674 | 中海中短债债券 | 详情 | 4.95 | 3.00 | 60.66% | 1.00 | 20.22% | 0.27 | 5.41% | - | - |
9 | 000878 | 中海医药健康产业精选混合A | 详情 | 1,768.79 | 783.77 | 44.31% | 130.63 | 7.39% | 711.97 | 40.25% | 129.77 | 7.34% |
10 | 000879 | 中海医药健康产业精选混合C | 详情 | 1,768.79 | 783.77 | 44.31% | 130.63 | 7.39% | 711.97 | 40.25% | 129.77 | 7.34% |
11 | 001252 | 中海进取收益混合 | 详情 | 53.35 | 16.39 | 30.72% | 4.10 | 7.68% | 22.19 | 41.58% | 4.10 | 7.68% |
12 | 001279 | 中海积极增利混合 | 详情 | 226.47 | 97.75 | 43.16% | 16.29 | 7.19% | 102.37 | 45.20% | - | - |
13 | 001574 | 中海混改红利混合 | 详情 | 52.09 | 17.82 | 34.21% | 2.97 | 5.70% | 25.59 | 49.12% | - | - |
14 | 001864 | 中海魅力长三角混合 | 详情 | 87.72 | 46.09 | 52.55% | 7.68 | 8.76% | 26.57 | 30.28% | - | - |
15 | 002213 | 中海顺鑫灵活配置混合 | 详情 | 175.71 | 42.05 | 23.93% | 7.01 | 3.99% | 117.32 | 66.77% | 2.80 | 1.60% |
16 | 002214 | 中海沪港深价值优选混合 | 详情 | 135.26 | 79.15 | 58.52% | 13.19 | 9.75% | 33.60 | 24.84% | - | - |
17 | 002965 | 中海合嘉增强收益债券A | 详情 | 16.88 | 6.07 | 35.98% | 1.82 | 10.80% | 2.93 | 17.37% | 0.59 | 3.47% |
18 | 002966 | 中海合嘉增强收益债券C | 详情 | 16.88 | 6.07 | 35.98% | 1.82 | 10.80% | 2.93 | 17.37% | 0.59 | 3.47% |
19 | 004219 | 中海添顺定期开放混合 | 详情 | 6.31 | 2.51 | 39.77% | 0.63 | 9.94% | 0.00 | 0.01% | - | - |
20 | 005252 | 中海添瑞定开混合 | 详情 | 13.18 | 5.04 | 38.24% | 1.26 | 9.56% | - | - | 0.63 | 4.78% |
21 | 005646 | 中海沪港深多策略灵活配置混合 | 详情 | 63.11 | 22.01 | 34.87% | 4.72 | 7.47% | 17.67 | 28.00% | 9.43 | 14.95% |
22 | 163907 | 中海惠裕纯债发起式 | 详情 | 143.03 | 89.00 | 62.22% | 25.43 | 17.78% | 4.10 | 2.86% | - | - |
23 | 392001 | 中海货币A | 详情 | 334.23 | 204.17 | 61.08% | 61.87 | 18.51% | - | - | 35.52 | 10.63% |
24 | 392002 | 中海货币B | 详情 | 334.23 | 204.17 | 61.08% | 61.87 | 18.51% | - | - | 35.52 | 10.63% |
25 | 393001 | 中海优势精选灵活配置混合 | 详情 | 84.49 | 61.53 | 72.83% | 10.26 | 12.14% | 6.02 | 7.13% | - | - |
26 | 395001 | 中海稳健收益债券 | 详情 | 90.26 | 37.99 | 42.10% | 12.66 | 14.03% | 2.03 | 2.25% | 22.16 | 24.56% |
27 | 395011 | 中海增强收益债券A | 详情 | 71.06 | 34.16 | 48.07% | 11.39 | 16.02% | 3.15 | 4.43% | 6.35 | 8.93% |
28 | 395012 | 中海增强收益债券C | 详情 | 71.06 | 34.16 | 48.07% | 11.39 | 16.02% | 3.15 | 4.43% | 6.35 | 8.93% |
29 | 398001 | 中海优质成长混合 | 详情 | 2,450.26 | 1,463.46 | 59.73% | 243.91 | 9.95% | 731.08 | 29.84% | - | - |
30 | 398011 | 中海分红增利混合 | 详情 | 1,175.40 | 460.70 | 39.20% | 76.78 | 6.53% | 626.80 | 53.33% | - | - |
31 | 398021 | 中海能源策略混合 | 详情 | 1,962.79 | 861.26 | 43.88% | 143.54 | 7.31% | 946.15 | 48.20% | - | - |
32 | 398031 | 中海蓝筹混合 | 详情 | 115.57 | 62.40 | 54.00% | 10.40 | 9.00% | 36.41 | 31.51% | - | - |
33 | 398041 | 中海量化策略混合 | 详情 | 632.97 | 342.73 | 54.15% | 57.12 | 9.02% | 206.58 | 32.64% | - | - |
34 | 398051 | 中海环保新能源混合 | 详情 | 159.34 | 85.15 | 53.44% | 14.19 | 8.91% | 52.83 | 33.16% | - | - |
35 | 398061 | 中海消费混合 | 详情 | 667.57 | 298.33 | 44.69% | 49.72 | 7.45% | 310.24 | 46.47% | - | - |
36 | 399001 | 中海上证50指数增强 | 详情 | 248.13 | 136.04 | 54.83% | 27.21 | 10.97% | 67.97 | 27.39% | - | - |
37 | 399011 | 中海医疗保健主题股票 | 详情 | 2,394.98 | 1,070.99 | 44.72% | 178.50 | 7.45% | 1,134.56 | 47.37% | - | - |
38 | 000674 | 中海中短债债券 | 详情 | 29.81 | 18.27 | 61.29% | 4.87 | 16.34% | 0.47 | 1.58% | 2.24 | 7.52% |
39 | 000675 | 中海惠祥分级债券A | 详情 | 29.81 | 18.27 | 61.29% | 4.87 | 16.34% | 0.47 | 1.58% | 2.24 | 7.52% |
40 | 000676 | 中海惠祥分级债券B | 详情 | 29.81 | 18.27 | 61.29% | 4.87 | 16.34% | 0.47 | 1.58% | 2.24 | 7.52% |