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

天弘新活力混合发起A(001250)

2024-04-19     1.61200.2862%
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
2023-12-3127,718.362,878.3370,885.1059,464.6620.35
2023-06-3020,227.711,909.3643,466.5036,894.5314.79
2022-12-31135,528.1934,948.40162,242.60244,331.2599.07
2022-06-3067,514.5434,727.86151,668.60196,938.0349.33
2021-12-3123,751.7922,156.64783,424.70797,620.5317.37
2021-06-3013,706.9611,880.05602,504.70591,756.4710.02
2020-12-3124,554.5936,760.56875,824.40933,066.5217.96
2020-06-307,782.7218,447.33237,850.00256,409.825.69
2019-12-3114,393.0135,280.60630,440.00662,297.2510.53
2019-06-3012,197.6627,176.71361,800.00276,826.508.92
2018-12-317,897.3727,823.14367,840.000.006.53
2018-06-306,001.1115,928.4632,490.000.005.01
2017-12-3131,121.238,590.01367,970.00282,573.3027.12
2017-06-3020,406.041,496.65171,380.00125,379.6918.55
2016-12-3126,355.969,496.801,000,029.30357,441.9924.55
2016-06-302,091.78158.279,200.0010,394.641.95
2015-12-3123,238.3518,337.498,863,100.008,876,711.0721.30
2015-06-306,836.650.008,779,910.000.006.22