首页 - 基金 - 建信福泽裕泰混合(FOF)C(005926) - 份额变动
建信福泽裕泰混合(FOF)C(005926)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 14,803,520.00 12,283,960.79 44,688.80 2,564,248.01
2024-12-30 15,970,381.06 14,803,520.00 72,448.47 1,239,309.53
2024-09-29 16,628,952.71 15,970,381.06 43,226.16 701,797.81
2024-06-29 17,402,003.21 16,628,952.71 134,399.78 907,450.28
2024-03-30 18,696,918.92 17,402,003.21 71,342.13 1,366,257.84
2023-12-30 21,102,498.16 18,696,918.92 92,748.15 2,498,327.39
2023-09-29 25,751,385.34 21,102,498.16 28,308.92 4,677,196.10
2023-06-29 28,606,017.05 25,751,385.34 12,885.37 2,867,517.08
2023-03-30 30,696,545.34 28,606,017.05 48,981.86 2,139,510.15
2022-12-30 32,403,753.15 30,696,545.34 119,286.66 1,826,494.47
2022-09-29 34,363,095.90 32,403,753.15 174,211.07 2,133,553.82
2022-06-29 38,164,808.85 34,363,095.90 250,006.79 4,051,719.74
2022-03-30 48,043,457.73 38,164,808.85 2,890,621.26 12,769,270.14
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