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

红塔红土盛世普益混合发起式(000743)

2024-05-07     1.2132-0.0906%
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
2023-12-3141,398.183,803.62360,910.00406,111.7930.41
2023-06-3028,145.311,501.37296,330.00325,976.6820.58
2022-12-3149,491.9517,518.25733,960.00794,062.4736.19
2022-06-3023,151.9812,708.64240,460.00269,412.8816.93
2021-12-3138,904.213,251.0647,330.0089,485.2728.45
2021-06-3029,131.42246.7429,890.0052,438.1421.30
2020-12-3179,356.121,588.73320,850.00382,300.1566.39
2020-06-3057,967.27329.03241,670.00280,471.6050.28
2019-12-3131,876.407,716.71129,170.00164,796.6129.00
2019-06-3011,666.217,286.6294,830.00113,782.8410.93
2018-12-3163,583.791,107.2818,820.0064,310.1855.96
2018-06-3039,769.411.1511,790.0051,560.5637.47
2017-12-31202,723.4338.952,890.00128,405.97183.21
2017-06-30139,500.468.710.000.00128.15
2016-12-3158,075.86659.4680,960.00112,596.1754.25
2016-06-3019,190.00646.5450,100.0069,936.5417.88
2015-12-3166,275.016,510.29416,900.00476,537.3161.31
2015-06-3021,689.003,305.90311,200.00326,757.9219.80
2014-12-318,847.2912,564.54114,650.00136,061.838.12