首页 - 基金 - 中银景泰回报混合(008773) - 份额变动
中银景泰回报混合(008773)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 67,446,514.96 61,828,989.71 60,981.72 5,678,506.97
2024-12-30 75,222,574.36 67,446,514.96 412,056.61 8,188,116.01
2024-09-29 80,537,912.78 75,222,574.36 82,762.08 5,398,100.50
2024-06-29 91,154,697.16 80,537,912.78 174,803.33 10,791,587.71
2024-03-30 107,435,290.37 91,154,697.16 174,002.17 16,454,595.38
2023-12-30 114,881,317.70 107,435,290.37 36,394.30 7,482,421.63
2023-09-29 129,777,617.85 114,881,317.70 53,705.03 14,950,005.18
2023-06-29 154,739,677.28 129,777,617.85 159,855.02 25,121,914.45
2023-03-30 198,906,304.57 154,739,677.28 477,932.54 44,644,559.83
2022-12-30 233,780,005.21 198,906,304.57 703,643.85 35,577,344.49
2022-09-29 304,395,514.49 233,780,005.21 258,224.18 70,873,733.46
2022-06-29 477,803,479.07 304,395,514.49 296,060.56 173,704,025.14
2022-03-30 515,279,395.27 477,803,479.07 1,667,158.13 39,143,074.33
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