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基金概况

财务数据

国金民丰回报混合(005018)

2022-04-07     1.17420.2818%
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
2021-12-313,208.3623,451.2935,500.0051,422.472.35
2021-06-301,721.525,690.9718,000.0023,751.961.18
2020-12-314,970.1715,429.4758,950.0079,349.632.26
2020-06-302,915.697,496.2618,700.0029,111.950.76
2019-12-3119,109.1910,387.97121,194.80150,691.963.46
2019-06-3013,339.256,007.3089,944.80109,291.352.42
2018-12-3160,700.3432,765.681,354,850.001,433,548.4111.00
2018-06-3048,820.4021,871.521,058,833.001,117,593.338.85