首页 - 基金 - 建信睿盈灵活配置混合A(000994) - 份额变动
建信睿盈灵活配置混合A(000994)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 32,363,981.31 31,523,343.82 164,729.19 1,005,366.68
2024-12-30 32,681,020.46 32,363,981.31 1,663,539.57 1,980,578.72
2024-09-29 32,794,874.21 32,681,020.46 193,924.95 307,778.70
2024-06-29 32,866,293.65 32,794,874.21 103,222.11 174,641.55
2024-03-30 33,270,927.93 32,866,293.65 126,166.85 530,801.13
2023-12-30 24,638,607.78 33,270,927.93 8,768,406.74 136,086.59
2023-09-29 24,853,189.47 24,638,607.78 206,258.37 420,840.06
2023-06-29 25,025,276.23 24,853,189.47 130,224.36 302,311.12
2023-03-30 25,303,092.38 25,025,276.23 209,985.52 487,801.67
2022-12-30 26,616,070.74 25,303,092.38 173,856.92 1,486,835.28
2022-09-29 26,797,676.08 26,616,070.74 167,850.57 349,455.91
2022-06-29 26,952,548.64 26,797,676.08 200,734.78 355,607.34
2022-03-30 27,482,828.43 26,952,548.64 214,343.02 744,622.81
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