首页 - 基金 - 新华鑫回报混合(001682) - 份额变动
新华鑫回报混合(001682)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 72,832,002.65 69,194,158.98 350,804.93 3,988,648.60
2024-12-30 76,034,036.89 72,832,002.65 3,937,004.72 7,139,038.96
2024-09-29 78,258,793.40 76,034,036.89 138,306.18 2,363,062.69
2024-06-29 81,507,935.34 78,258,793.40 66,052.10 3,315,194.04
2024-03-30 90,939,508.25 81,507,935.34 104,461.54 9,536,034.45
2023-12-30 97,019,206.57 90,939,508.25 135,377.97 6,215,076.29
2023-09-29 99,220,433.86 97,019,206.57 86,995.97 2,288,223.26
2023-06-29 125,630,020.30 99,220,433.86 591,624.59 27,001,211.03
2023-03-30 135,628,021.09 125,630,020.30 159,214.03 10,157,214.82
2022-12-30 147,026,151.92 135,628,021.09 95,729.82 11,493,860.65
2022-09-29 199,523,658.38 147,026,151.92 813,124.78 53,310,631.24
2022-06-29 232,034,114.39 199,523,658.38 84,527.83 32,594,983.84
2022-03-30 289,228,016.19 232,034,114.39 259,637.51 57,453,539.31
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