首页 - 基金 - 国泰瑞丰纯债债券(014230) - 份额变动
国泰瑞丰纯债债券(014230)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 2,996,242,531.01 2,996,242,493.33 2.08 39.76
2024-12-30 2,996,242,547.34 2,996,242,531.01 3.67 20.00
2024-09-29 2,996,242,564.20 2,996,242,547.34 3.02 19.88
2024-06-29 2,996,242,582.01 2,996,242,564.20 2.19 20.00
2024-03-30 2,996,242,898.67 2,996,242,582.01 3.32 319.98
2023-12-30 2,996,242,925.46 2,996,242,898.67 3.09 29.88
2023-09-29 2,996,242,940.28 2,996,242,925.46 5.06 19.88
2023-06-29 2,996,243,999.27 2,996,242,940.28 1.09 1,060.08
2023-03-30 2,996,243,999.27 2,996,243,999.27 - -
2022-12-30 2,996,244,029.09 2,996,243,999.27 - 29.82
2022-09-29 2,996,244,050.06 2,996,244,029.09 8.91 29.88
2022-06-29 2,996,244,079.88 2,996,244,050.06 - 29.82
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