首页 - 基金 - 富国智浦精选12个月持有混合(FOF)A(013793) - 份额变动
富国智浦精选12个月持有混合(FOF)A(013793)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)
2025-03-30 332,649,992.40 316,201,018.27 43,844.23 16,492,818.36
2024-12-30 365,099,051.30 332,649,992.40 209,756.12 32,658,815.02
2024-09-29 383,118,939.45 365,099,051.30 199,667.29 18,219,555.44
2024-06-29 394,106,304.63 383,118,939.45 664,748.95 11,652,114.13
2024-03-30 423,548,165.47 394,106,304.63 206,275.60 29,648,136.44
2023-12-30 451,346,025.49 423,548,165.47 90,282.38 27,888,142.40
2023-09-29 483,050,657.11 451,346,025.49 36,384.37 31,741,015.99
2023-06-29 525,597,091.20 483,050,657.11 705,648.76 43,252,082.85
2023-03-30 552,697,297.51 525,597,091.20 930,608.12 28,030,814.43
2022-12-30 591,181,567.86 552,697,297.51 3,118,565.07 41,602,835.42
2022-09-29 589,618,995.36 591,181,567.86 1,562,572.50 -
2022-06-29 558,888,506.18 589,618,995.36 30,730,489.18 -
2022-03-30 557,386,380.04 558,888,506.18 1,502,126.14 -
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