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基金费率

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基金概况

财务数据

东方红价值精选混合A(002783)

2021-06-11     1.4667-0.1498%
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
2020-12-3147,780.0365,776.481,427,320.001,524,190.5234.51
2020-06-3020,088.8331,234.38412,710.00459,883.7014.50
2019-12-3126,572.4765,731.862,834,860.002,927,164.3318.87
2019-06-3017,222.4746,299.521,920,120.001,983,641.9912.45
2018-12-3147,110.28100,232.115,380,350.005,527,692.3934.13
2018-06-3023,494.1244,820.603,166,740.003,235,054.7217.04
2017-12-31133,884.4195,804.135,884,263.806,113,952.3496.69
2017-06-3064,125.4860,583.112,577,363.802,702,072.4046.35
2016-12-3155,507.2887,131.921,069,840.001,212,479.2040.59