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

银河君尚混合C(519614)

2024-04-24     1.49250.2485%
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
2023-12-3124,786.138,356.1446,250.0066,506.8623.08
2023-06-3020,685.178,236.1942,720.0060,324.5519.23
2022-12-3168,496.466,099.88196,470.00235,683.9763.33
2022-06-3033,132.712,140.33121,020.00139,413.6630.55
2021-12-3178,683.067,875.391,031,040.001,117,598.4572.93
2021-06-3045,140.433,180.05460,760.00486,570.5742.03
2020-12-3163,000.602,174.75450,080.00473,855.8058.67
2020-06-3012,825.531,259.38102,840.00110,092.1811.94
2019-12-3121,126.764,762.80118,650.00144,539.5519.68
2019-06-309,973.243,111.3822,030.0035,114.619.29
2018-12-3140,025.2013,848.57154,380.00207,879.7037.28
2018-06-3033,278.542,302.19126,720.00161,926.6730.99
2017-12-31130,144.793,865.52605,890.00701,981.60121.20
2017-06-3084,615.603,405.58354,970.00405,421.8878.80
2016-12-318,162.2411,076.07949,340.00964,201.067.52