首页 - 基金 - 富国新回报灵活配置混合C(000843) - 份额变动
富国新回报灵活配置混合C(000843)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)
2025-03-30 941,713.40 895,373.78 46,397.05 92,736.67
2024-12-30 985,698.12 941,713.40 14,055.84 58,040.56
2024-09-29 1,141,823.10 985,698.12 59,140.58 215,265.56
2024-06-29 16,177,897.80 1,141,823.10 19,317.25 15,055,391.95
2024-03-30 56,717,719.25 16,177,897.80 84,530.07 40,624,351.52
2023-12-30 1,368,731.26 56,717,719.25 55,483,393.76 134,405.77
2023-09-29 1,957,876.91 1,368,731.26 144,466.78 733,612.43
2023-06-29 9,682,943.45 1,957,876.91 48,557.70 7,773,624.24
2023-03-30 10,584,126.14 9,682,943.45 3,436,168.10 4,337,350.79
2022-12-30 16,455,351.97 10,584,126.14 9,312,629.05 15,183,854.88
2022-09-29 12,189,484.07 16,455,351.97 4,318,236.06 52,368.16
2022-06-29 32,435,388.50 12,189,484.07 11,727,157.32 31,973,061.75
2022-03-30 11,651,725.33 32,435,388.50 32,034,410.36 11,250,747.19
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