首页 - 基金 - 建信弘利灵活配置混合A(002378) - 份额变动
建信弘利灵活配置混合A(002378)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 31,441,808.44 30,507,577.31 470,208.35 1,404,439.48
2024-12-30 31,724,241.73 31,441,808.44 607,266.41 889,699.70
2024-09-29 32,452,161.24 31,724,241.73 115,305.91 843,225.42
2024-06-29 32,832,032.62 32,452,161.24 73,059.91 452,931.29
2024-03-30 35,536,574.00 32,832,032.62 133,992.10 2,838,533.48
2023-12-30 37,829,275.08 35,536,574.00 134,982.15 2,427,683.23
2023-09-29 38,773,585.16 37,829,275.08 101,357.93 1,045,668.01
2023-06-29 39,604,599.31 38,773,585.16 252,636.66 1,083,650.81
2023-03-30 41,172,507.03 39,604,599.31 172,048.08 1,739,955.80
2022-12-30 41,377,949.62 41,172,507.03 192,693.75 398,136.34
2022-09-29 43,016,848.88 41,377,949.62 542,677.24 2,181,576.50
2022-06-29 43,904,575.53 43,016,848.88 489,046.32 1,376,772.97
2022-03-30 47,843,833.64 43,904,575.53 2,224,653.39 6,163,911.50
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