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基金概况

财务数据

景顺长城顺益回报混合C(002793)

2022-06-30     1.45390.4283%
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
2021-12-3131,200.2115,805.88300,940.50347,946.5929.06
2021-06-3016,157.5910,584.1379,794.80106,536.5215.05
2020-12-3139,624.628,523.94151,672.60199,821.1536.90
2020-06-3015,467.855,153.7756,070.0076,691.6214.41
2019-12-3117,567.027,241.6954,700.0079,508.7116.36
2019-06-302,673.943,690.0828,290.0034,654.022.49
2018-12-315,969.646,820.2852,270.0065,059.925.56
2018-06-304,892.954,550.6023,560.0033,003.554.56
2017-12-3159,983.433,240.33335,790.00399,013.7655.86
2017-06-3045,085.063,235.84268,830.00317,150.9041.99