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基金业绩

基金费率

投资组合

基金概况

财务数据

易方达标普消费品指数增强(QDII)A(美元现汇份额)(000593)

2024-11-19     0.38510.0000%
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
2024-06-3015,336.490.000.000.004.39
2023-12-3149,827.150.000.000.0024.56
2023-06-3018,761.270.000.000.008.40
2022-12-3125,457.480.000.000.008.75
2022-06-3011,151.060.000.000.002.56
2021-12-3130,924.760.000.000.0011.58
2021-06-3023,050.590.000.000.008.99
2020-12-314,608.090.000.000.002.12
2020-06-302,340.860.000.000.001.07
2019-12-313,191.180.000.000.001.58
2019-06-302,055.820.000.000.001.13
2018-12-319,921.150.000.000.005.34
2018-06-306,430.100.000.000.003.54
2017-12-319,458.970.000.000.005.83
2017-06-304,394.280.000.000.003.00
2016-12-31403.290.000.000.000.27
2016-06-30119.830.000.000.000.05
2015-12-313,867.770.000.000.002.12
2015-06-303,042.450.000.000.001.68
2014-12-3130,718.710.000.000.0020.46
2014-06-3013,032.130.000.000.009.68