首页 - 基金 - 富国精诚回报12个月持有期混合C(011770) - 份额变动
富国精诚回报12个月持有期混合C(011770)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 39,937,290.80 38,590,583.52 5,020.72 1,351,728.00
2024-12-30 40,408,994.17 39,937,290.80 58,651.50 530,354.87
2024-09-29 44,250,971.19 40,408,994.17 9,974.11 3,851,951.13
2024-06-29 72,693,273.40 44,250,971.19 935.85 28,443,238.06
2024-03-30 78,331,868.24 72,693,273.40 844.89 5,639,439.73
2023-12-30 85,322,824.76 78,331,868.24 781.41 6,991,737.93
2023-09-29 100,293,310.59 85,322,824.76 - 14,970,485.83
2023-06-29 109,018,595.81 100,293,310.59 10.21 8,725,295.43
2023-03-30 141,376,108.44 109,018,595.81 1,020.53 32,358,533.16
2022-12-30 161,158,203.73 141,376,108.44 111.59 19,782,206.88
2022-09-29 263,155,126.78 161,158,203.73 55,078.54 102,052,001.59
2022-06-29 361,206,398.05 263,155,126.78 27,212.78 98,078,484.05
2022-03-30 361,202,543.74 361,206,398.05 3,854.31 -
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