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基金费率

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基金概况

财务数据

前海开源清洁能源混合A(001278)

2024-12-02     1.40900.7148%
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
2024-06-305,424.830.000.000.004.05
2023-12-317,058.521,088.130.000.005.20
2023-06-303,225.94659.800.000.002.36
2022-12-31136,276.9116,519.130.000.0099.66
2022-06-30107,921.3511,320.600.000.0078.92
2021-12-31161,832.6015.34627,240.000.00118.35
2021-06-3062,601.0415.34627,240.000.0045.78
2020-12-31321,269.72473.084,550,670.001,674,661.32234.94
2020-06-30269,276.63839.413,210,830.001,595,343.03196.92
2019-12-31565,657.321,231.148,333,910.003,514,565.99413.66
2019-06-30225,718.410.002,801,860.000.00165.07
2018-12-3188,746.190.00520,450.000.0064.90
2018-06-3035,822.270.00352,280.000.0026.20
2017-12-31392,224.6235.742,245,230.002,086,824.50286.83
2017-06-30276,723.260.00628,380.000.00202.37
2016-12-31540,002.234,022.37327,500.00566,686.48394.90
2016-06-30248,335.203,000.70190,000.00304,319.91181.61
2015-12-3132,385.570.001,072,000.000.0023.56