首页 - 基金 - 国泰浓益灵活配置混合C(002059) - 份额变动
国泰浓益灵活配置混合C(002059)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 4,520,754.16 4,303,781.65 288,462.06 505,434.57
2024-12-30 4,572,148.92 4,520,754.16 171,435.71 222,830.47
2024-09-29 4,650,003.92 4,572,148.92 19,974.25 97,829.25
2024-06-29 4,792,121.03 4,650,003.92 16,730.80 158,847.91
2024-03-30 4,960,419.49 4,792,121.03 14,767.57 183,066.03
2023-12-30 5,132,925.23 4,960,419.49 89,772.54 262,278.28
2023-09-29 44,000,670.99 5,132,925.23 52,355.22 38,920,100.98
2023-06-29 40,938,019.93 44,000,670.99 3,831,935.22 769,284.16
2023-03-30 101,904,556.96 40,938,019.93 118,708.07 61,085,245.10
2022-12-30 238,712,265.86 101,904,556.96 1,237,440.07 138,045,148.97
2022-09-29 155,013,070.29 238,712,265.86 94,330,884.21 10,631,688.64
2022-06-29 231,031,352.60 155,013,070.29 13,885,332.04 89,903,614.35
2022-03-30 224,759,107.11 231,031,352.60 18,079,540.96 11,807,295.47
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