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

大成景兴信用债债券A(000130)

2024-04-19     1.55680.0257%
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
2023-12-31275.769,665.3043,239.4053,180.460.25
2023-06-30209.905,566.6813,831.4019,607.980.19
2022-12-31190.8710,202.3314,360.9024,754.100.17
2022-06-30146.454,536.7310,350.9015,034.080.13
2021-12-31794.3011,802.7019,636.1032,233.100.72
2021-06-30138.284,394.0513,927.1018,459.440.13
2020-12-311,955.0725,343.48206,952.90234,251.451.78
2020-06-301,425.0115,237.48119,280.00135,942.491.30
2019-12-3121,489.8075,196.68550,286.90646,973.3819.58
2019-06-3019,202.3361,514.76312,042.70392,759.7917.50
2018-12-31624.3747,825.06400,230.00448,679.430.57
2018-06-30121.5518,451.1648,730.0064,858.900.11
2017-12-311,156.1218,261.77144,537.10163,954.991.05
2017-06-300.005,377.2368,050.000.000.00
2016-12-310.0038,715.29703,640.000.000.00
2016-06-300.0016,794.85421,470.000.000.00
2015-12-318,748.3895,371.29826,320.00929,219.847.93
2015-06-307,004.5450,735.37401,030.00457,550.095.47
2014-12-310.0063,073.58627,531.500.000.00
2014-06-300.0034,661.87338,786.500.000.00
2013-12-310.0061,298.47771,700.600.000.00