首页 - 基金 - 景顺长城安鑫回报一年持有期混合C(009755) - 份额变动
景顺长城安鑫回报一年持有期混合C(009755)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 7,547,661.03 7,285,551.79 48,604.13 310,713.37
2024-12-30 8,206,117.29 7,547,661.03 83,464.99 741,921.25
2024-09-29 8,637,705.21 8,206,117.29 87,544.69 519,132.61
2024-06-29 9,596,186.58 8,637,705.21 107,143.95 1,065,625.32
2024-03-30 11,157,528.80 9,596,186.58 73,137.85 1,634,480.07
2023-12-30 13,015,808.55 11,157,528.80 107,943.55 1,966,223.30
2023-09-29 13,776,665.70 13,015,808.55 131,243.71 892,100.86
2023-06-29 14,970,081.21 13,776,665.70 278,539.10 1,471,954.61
2023-03-30 15,211,771.37 14,970,081.21 1,160,349.67 1,402,039.83
2022-12-30 14,456,405.12 15,211,771.37 1,962,874.56 1,207,508.31
2022-09-29 15,872,724.02 14,456,405.12 676,785.97 2,093,104.87
2022-06-29 18,724,200.95 15,872,724.02 505,388.34 3,356,865.27
2022-03-30 23,025,176.67 18,724,200.95 751,335.66 5,052,311.38
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