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

易方达新享混合C(001343)

2024-04-23     1.2520-0.0798%
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
2023-12-317,246.6038,805.411,831,433.401,877,485.415.80
2023-06-306,129.1225,578.60761,995.80793,703.524.90
2022-12-3121,652.8947,708.743,415,710.003,485,064.6617.32
2022-06-3012,036.4512,805.301,446,720.001,471,554.779.63
2021-12-3111,751.0312,462.373,280,690.003,304,903.409.40
2021-06-305,535.28827.681,427,020.001,433,382.964.43
2020-12-3118,984.5421,541.981,218,010.001,258,536.5215.19
2020-06-3011,654.1613,348.99423,200.00448,203.159.32
2019-12-3113,848.708,699.52287,740.00310,288.2211.08
2019-06-309,489.028,139.8944,700.0062,328.907.59
2018-12-3118,082.618,368.8399,290.00125,741.4414.47
2018-06-3015,609.523,762.3091,000.00110,371.8112.49
2017-12-3110,535.094,600.74176,745.00191,880.838.43
2017-06-304,480.673,394.3578,745.0086,620.033.58
2016-12-3112,030.185,116.623,503,800.003,520,946.808.43
2016-06-301,230.540.003,470,100.000.000.00
2015-12-3131,810.540.003,139,500.000.0022.90