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基金业绩

基金费率

投资组合

基金概况

财务数据

景顺长城景颐招利6个月持有债券A(010011)

2024-04-23     1.1364-0.5339%
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
2023-12-31650,962.67166,174.093,328,011.003,969,583.15607.92
2023-06-30299,613.0249,579.39832,381.50981,684.32278.29
2022-12-31722,526.58107,674.84495,782.401,225,686.92638.58
2022-06-30285,631.7385,232.7682,710.00360,623.87263.30
2021-12-31101,195.4752,492.24236,100.00349,655.1189.03
2021-06-3055,137.5731,027.56164,370.00206,126.9348.67
2020-12-3128,632.9347,781.47171,770.00221,386.1625.83