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基金业绩

基金费率

投资组合

基金概况

财务数据

南方荣光灵活配置混合A(002015)

2024-12-17     1.5888-0.0880%
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
2024-06-3020,961.3558,414.75532,300.00604,301.6315.07
2023-12-3185,775.30102,195.55653,010.00813,154.4277.13
2023-06-3055,237.8148,824.60150,020.00239,887.1749.74
2022-12-3188,754.60101,873.95343,380.00532,659.7580.19
2022-06-3058,720.3375,538.70234,830.00363,717.9552.53
2021-12-31223,298.03143,502.77780,360.001,139,424.59201.98
2021-06-30129,957.0063,078.33200,650.00373,391.08118.18
2020-12-31318,544.62103,866.06714,200.001,129,526.78289.65
2020-06-30164,862.4833,137.52201,190.00387,280.43149.89
2019-12-31163,484.3693,820.891,422,236.801,679,542.04148.19
2019-06-3094,872.0336,853.971,057,666.801,093,393.0986.04
2018-12-3182,705.09103,268.311,575,280.001,761,253.3974.97
2018-06-3053,428.1142,712.92333,510.70429,651.7348.43
2017-12-31161,836.4984,375.671,031,340.301,270,763.39147.11
2017-06-3051,386.3337,366.87655,701.10699,860.2646.71
2016-12-31150,053.6518,104.308,782,650.008,948,708.93136.58
2016-06-30121,852.0216,139.268,027,620.008,164,624.59110.89