首页 - 基金 - 建信裕利灵活配置混合(002281) - 份额变动
建信裕利灵活配置混合(002281)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 39,682,410.60 45,939,921.62 11,768,724.30 5,511,213.28
2024-12-30 40,809,846.65 39,682,410.60 5,592,050.00 6,719,486.05
2024-09-29 41,507,759.77 40,809,846.65 195,172.68 893,085.80
2024-06-29 45,085,119.11 41,507,759.77 125,601.64 3,702,960.98
2024-03-30 45,700,175.53 45,085,119.11 440,123.95 1,055,180.37
2023-12-30 44,452,059.72 45,700,175.53 1,971,494.81 723,379.00
2023-09-29 44,982,766.28 44,452,059.72 1,108,967.07 1,639,673.63
2023-06-29 44,912,395.26 44,982,766.28 526,407.75 456,036.73
2023-03-30 45,454,857.21 44,912,395.26 756,651.66 1,299,113.61
2022-12-30 48,207,361.54 45,454,857.21 577,779.21 3,330,283.54
2022-09-29 48,933,110.44 48,207,361.54 1,210,627.08 1,936,375.98
2022-06-29 49,870,079.25 48,933,110.44 1,695,929.87 2,632,898.68
2022-03-30 45,201,017.99 49,870,079.25 9,898,658.96 5,229,597.70
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