首页 - 基金 - 富国新优享灵活配置混合A(004737) - 份额变动
富国新优享灵活配置混合A(004737)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 37,285,197.02 37,093,445.15 23,854.85 215,606.72
2024-12-30 37,654,818.23 37,285,197.02 47,850.56 417,471.77
2024-09-29 37,778,856.11 37,654,818.23 42,549.29 166,587.17
2024-06-29 52,642,921.81 37,778,856.11 1,110,910.51 15,974,976.21
2024-03-30 53,035,424.13 52,642,921.81 3,347,222.57 3,739,724.89
2023-12-30 66,645,061.62 53,035,424.13 38,678.11 13,648,315.60
2023-09-29 66,816,941.01 66,645,061.62 47,489.31 219,368.70
2023-06-29 110,994,511.51 66,816,941.01 970,897.28 45,148,467.78
2023-03-30 182,399,119.86 110,994,511.51 961,640.50 72,366,248.85
2022-12-30 289,638,017.26 182,399,119.86 21,986,021.48 129,224,918.88
2022-09-29 288,845,566.85 289,638,017.26 12,915,686.96 12,123,236.55
2022-06-29 281,969,891.85 288,845,566.85 7,192,674.90 316,999.90
2022-03-30 323,210,109.53 281,969,891.85 4,136,058.69 45,376,276.37
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