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基金业绩

基金费率

投资组合

基金概况

财务数据

国联景泓一年持有混合C(012668)

2025-05-21     0.99590.0301%
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
2024-12-3121,543.7622,138.87410,293.70448,766.4013.07
2024-06-3011,541.1213,404.01210,982.60218,617.098.61
2023-12-3127,856.3715,289.481,380,245.001,412,811.8520.49
2023-06-3016,416.027,139.24857,833.60881,078.6412.00
2022-12-3177,383.9989,303.701,200,618.101,342,011.1356.59
2022-06-3042,214.4532,412.72355,534.50427,136.7930.87
2021-12-3142,516.718,019.62798,650.00549,536.8331.09