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基金费率

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基金概况

财务数据

财通资管积极收益债券A(002901)

2024-12-20     1.24080.2829%
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
2024-06-3013,079.83145,616.32438,500.00597,196.1529.10
2023-12-3146,932.75147,824.83468,250.70663,008.2750.51
2023-06-3019,815.3542,526.57323,990.70386,332.6223.76
2022-12-31118,806.10120,630.24601,293.50840,729.8486.25
2022-06-3052,608.5842,427.77265,100.00360,136.3538.28
2021-12-3176,681.3952,858.99339,910.00469,450.3856.54
2021-06-3017,010.1716,159.71158,970.00177,786.7814.67
2020-12-3116,971.4145,822.90867,242.70930,037.0030.21
2020-06-309,771.3631,730.07403,122.70444,624.1315.35
2019-12-311,671.51210,879.072,721,336.402,615,112.2654.62
2019-06-300.00171,638.642,063,374.000.0038.75
2018-12-3186.14136,817.55681,826.76818,730.4420.09
2018-06-3075.5237,180.84131,335.00168,591.364.43
2017-12-3119,193.9959,622.99148,710.50220,102.6818.30
2017-06-3016,674.6823,815.2724,700.0059,828.4912.21
2016-12-3122,274.40435,660.81285,990.00743,925.2157.65