首页 - 基金 - 国泰浓益灵活配置混合A(000526) - 份额变动
国泰浓益灵活配置混合A(000526)份额变动
截止日 期初份额(份) 期末份额(份) 期间申购份额(份) 期间赎回份额(份)
2025-03-30 33,194,317.48 32,868,520.35 465,798.60 791,595.73
2024-12-30 33,070,642.85 33,194,317.48 751,994.33 628,319.70
2024-09-29 33,265,493.65 33,070,642.85 51,740.54 246,591.34
2024-06-29 33,386,592.81 33,265,493.65 23,571.94 144,671.10
2024-03-30 21,425,705.37 33,386,592.81 23,912,994.42 11,952,106.98
2023-12-30 85,731,720.63 21,425,705.37 41,660.92 64,347,676.18
2023-09-29 115,754,975.90 85,731,720.63 3,898,244.07 33,921,499.34
2023-06-29 144,290,188.59 115,754,975.90 65,784.41 28,600,997.10
2023-03-30 187,038,660.76 144,290,188.59 298,799.71 43,047,271.88
2022-12-30 306,901,536.25 187,038,660.76 57,328,484.99 177,191,360.48
2022-09-29 247,237,939.73 306,901,536.25 73,089,659.99 13,426,063.47
2022-06-29 388,738,262.95 247,237,939.73 846,271.68 142,346,594.90
2022-03-30 398,828,981.71 388,738,262.95 73,331,328.09 83,422,046.85
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