首页 - 基金 - 兴业聚利灵活配置混合A(001272) - 份额变动
兴业聚利灵活配置混合A(001272)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)
2024-12-30 147,207,558.40 111,370,814.62 11,090,669.86 46,927,413.64
2024-09-29 217,063,277.20 147,207,558.40 24,738,597.60 94,594,316.40
2024-06-29 218,596,475.39 217,063,277.20 161,455.39 1,694,653.58
2024-03-30 213,373,093.99 218,596,475.39 6,545,647.93 1,322,266.53
2023-12-30 25,194,988.91 213,373,093.99 190,659,740.21 2,481,635.13
2023-09-29 19,029,007.27 25,194,988.91 6,627,593.33 461,611.69
2023-06-29 19,303,805.85 19,029,007.27 388,823.24 663,621.82
2023-03-30 19,616,123.40 19,303,805.85 290,455.32 602,772.87
2022-12-30 29,071,566.62 19,616,123.40 470,321.13 9,925,764.35
2022-09-29 29,726,635.30 29,071,566.62 514,246.56 1,169,315.24
2022-06-29 104,779,450.34 29,726,635.30 1,459,072.00 76,511,887.04
2022-03-30 86,772,021.25 104,779,450.34 56,474,222.53 38,466,793.44
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