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基金概况

财务数据

前海开源祥和债券C(003219)

2021-10-18     1.46400.6808%
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
2021-06-3042,021.3622,133.128,060.0067,313.1430.73
2020-12-3144,032.06124,977.91873,650.001,042,659.9732.20
2020-06-3031,147.8265,569.20687,650.00784,357.9422.78
2019-12-3127,563.8053,793.60476,590.00557,914.4020.16
2019-06-309,223.5723,251.05190,490.00222,964.626.75
2018-12-3117,822.6325,426.47177,020.00220,269.0913.03
2018-06-308,388.5115,413.8872,860.0096,662.396.13
2017-12-3116,298.8415,323.6993,426.00125,048.5311.92
2017-06-308,126.3210,280.4525,506.0043,912.775.94