首页 - 基金 - 建信鑫稳回报灵活配置混合A(004617) - 份额变动
建信鑫稳回报灵活配置混合A(004617)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 2,798,218.28 22,834,584.47 20,153,921.21 117,555.02
2024-12-30 15,167,788.68 2,798,218.28 219,392.06 12,588,962.46
2024-09-29 16,227,457.77 15,167,788.68 15,543.57 1,075,212.66
2024-06-29 16,509,889.74 16,227,457.77 18,500.64 300,932.61
2024-03-30 16,776,243.56 16,509,889.74 64,357.84 330,711.66
2023-12-30 13,540,335.64 16,776,243.56 12,603,840.57 9,367,932.65
2023-09-29 25,622,153.02 13,540,335.64 69,383.81 12,151,201.19
2023-06-29 25,861,279.50 25,622,153.02 96,665.30 335,791.78
2023-03-30 26,222,562.36 25,861,279.50 27,938.07 389,220.93
2022-12-30 196,970,247.09 26,222,562.36 63,332.62 170,811,017.35
2022-09-29 256,916,848.67 196,970,247.09 8,434,748.43 68,381,350.01
2022-06-29 258,300,842.16 256,916,848.67 181,622.58 1,565,616.07
2022-03-30 306,032,760.26 258,300,842.16 323,969.24 48,055,887.34
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