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

中信保诚新选混合B(002030)

2024-04-17     1.28200.4702%
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
2023-12-3119,396.383,823.28130,573.50151,208.8515.59
2023-06-3014,555.823,120.97119,910.00127,656.2811.65
2022-12-31162,226.289,235.09740,800.00912,261.36139.57
2022-06-30111,865.544,129.65418,850.00534,845.1996.77
2021-12-31175,854.436,874.34583,230.00671,319.30140.08
2021-06-3057,599.174,251.55295,330.00325,739.1042.07
2020-12-3178,475.8412,064.4823,660.00103,010.9866.70
2020-06-3019,847.96131.645,440.0025,419.6018.36
2019-12-3113,023.8812,556.1228,980.0054,560.0012.09
2019-06-30204.101,028.501,420.002,652.600.19
2018-12-3122,558.614,762.126,120.0033,440.7220.81
2018-06-3013,594.453,814.166,120.0023,528.6112.52
2017-12-3158,424.829,238.39328,210.00395,873.2153.80
2017-06-3026,435.524,537.43260,790.00291,762.9524.35
2016-12-3122,353.839,373.40179,320.00211,047.2320.58
2016-06-3013,935.578,373.50132,910.00155,219.0812.81
2015-12-31130,419.3236,056.21398,960.00565,435.54118.46