首页 - 基金 - 新华战略新兴产业灵活配置混合(001294) - 份额变动
新华战略新兴产业灵活配置混合(001294)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 69,786,723.52 67,958,043.15 1,901,095.86 3,729,776.23
2024-09-29 70,379,170.85 69,786,723.52 957,411.66 1,549,858.99
2024-06-29 71,307,653.26 70,379,170.85 1,235,845.65 2,164,328.06
2024-03-30 72,434,360.55 71,307,653.26 1,528,920.38 2,655,627.67
2023-12-30 75,200,848.84 72,434,360.55 1,225,218.63 3,991,706.92
2023-09-29 82,430,005.79 75,200,848.84 3,893,173.45 11,122,330.40
2023-06-29 98,886,142.14 82,430,005.79 4,024,562.26 20,480,698.61
2023-03-30 93,798,194.38 98,886,142.14 21,146,932.95 16,058,985.19
2022-12-30 80,329,905.81 93,798,194.38 43,457,476.87 29,989,188.30
2022-09-29 81,310,587.81 80,329,905.81 4,655,270.24 5,635,952.24
2022-06-29 82,837,855.26 81,310,587.81 3,242,194.38 4,769,461.83
2022-03-30 87,048,573.63 82,837,855.26 3,935,208.15 8,145,926.52
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