首页 - 基金 - 鹏华优质回报两年定开混合(008716) - 份额变动
鹏华优质回报两年定开混合(008716)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)
2025-03-30 402,749,723.73 402,749,723.73 - -
2024-12-30 402,749,723.73 402,749,723.73 - -
2024-09-29 402,749,723.73 402,749,723.73 - -
2024-06-29 477,964,894.82 402,749,723.73 128,503.50 75,343,674.59
2024-03-30 557,938,390.11 477,964,894.82 112,195.01 80,085,690.30
2023-12-30 557,938,390.11 557,938,390.11 - -
2023-09-29 557,938,390.11 557,938,390.11 - -
2023-06-29 557,938,390.11 557,938,390.11 - -
2023-03-30 557,938,390.11 557,938,390.11 - -
2022-12-30 557,938,390.11 557,938,390.11 - -
2022-09-29 557,938,390.11 557,938,390.11 - -
2022-06-29 557,938,390.11 557,938,390.11 - -
2022-03-30 1,742,780,101.49 557,938,390.11 50,745,689.68 1,235,587,401.06
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