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基金费率

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基金概况

财务数据

平安双季增享6个月持有债券A(010651)

2024-12-06     0.96290.1352%
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
2024-06-3062,016.8322,939.34766,267.90807,961.4245.64
2023-12-31123,932.04169,078.262,704,506.002,966,744.7590.05
2023-06-3070,366.1388,531.621,954,338.002,113,235.7550.85
2022-12-313,626,886.01940,682.114,148,860.008,716,428.132,599.77
2022-06-302,719,867.10776,725.621,919,920.005,416,512.721,944.55
2021-12-31466,208.31332,623.073,009,840.003,808,671.38334.23
2021-06-3044,212.2487,834.531,746,940.001,878,986.7732.15