首页 - 基金 - 富国泰享回报6个月持有混合C(012011) - 份额变动
富国泰享回报6个月持有混合C(012011)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 1,765,260.13 1,607,549.25 178,418.75 336,129.63
2024-12-30 2,100,947.94 1,765,260.13 3,858.31 339,546.12
2024-09-29 2,273,041.73 2,100,947.94 2,334.09 174,427.88
2024-06-29 2,408,580.46 2,273,041.73 1,856.35 137,395.08
2024-03-30 2,449,946.28 2,408,580.46 5,925.23 47,291.05
2023-12-30 2,598,573.13 2,449,946.28 11,854.36 160,481.21
2023-09-29 2,604,721.17 2,598,573.13 145,063.85 151,211.89
2023-06-29 2,803,906.58 2,604,721.17 209,349.46 408,534.87
2023-03-30 3,791,044.42 2,803,906.58 150,600.67 1,137,738.51
2022-12-30 5,553,221.77 3,791,044.42 34,833.65 1,797,011.00
2022-09-29 7,951,765.62 5,553,221.77 1,913.68 2,400,457.53
2022-06-29 9,080,094.30 7,951,765.62 18,098.79 1,146,427.47
2022-03-30 16,694,292.94 9,080,094.30 156,505.63 7,770,704.27
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