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

东方红领先精选混合A(001202)

2024-05-10     1.4420-0.2076%
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
2023-12-3126,358.0220,997.131,954,012.501,982,440.0719.11
2023-06-3016,807.215,264.97921,250.00935,070.6612.12
2022-12-3148,787.3322,239.293,451,834.703,503,962.2434.97
2022-06-3026,910.0913,591.791,954,802.701,986,306.6419.19
2021-12-3141,211.3430,421.881,123,700.001,195,333.2229.40
2021-06-3021,250.1919,451.36236,390.00271,009.5015.14
2020-12-3136,058.3548,709.871,315,880.001,400,648.2226.02
2020-06-3018,457.7131,394.99461,330.00511,182.7013.32
2019-12-3124,821.4038,859.023,181,090.003,242,472.9617.48
2019-06-3014,989.0031,564.872,062,640.002,106,896.4110.81
2018-12-3158,873.71104,198.824,705,340.004,860,821.5542.40
2018-06-3038,013.9272,397.382,246,500.002,356,911.3027.34
2017-12-3168,998.2143,501.351,953,660.002,066,159.5649.97
2017-06-3025,196.2812,380.961,037,530.001,075,107.2318.31
2016-12-3195,673.7921,040.401,779,860.001,896,574.1969.97
2016-06-3056,024.5413,506.92540,190.00609,721.4640.97
2015-12-31193,129.2471,598.08255,000.80519,728.12169.12
2015-06-3074,871.1439,845.9581,900.00196,617.0968.16