首页 - 基金 - 华安新回报混合A(001311) - 份额变动
华安新回报混合A(001311)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 33,627,308.36 26,375,337.50 399,231.66 7,651,202.52
2024-09-29 34,171,017.07 33,627,308.36 228,407.52 772,116.23
2024-06-29 28,212,053.09 34,171,017.07 6,671,586.09 712,622.11
2024-03-30 39,825,163.65 28,212,053.09 43,994.28 11,657,104.84
2023-12-30 40,243,622.78 39,825,163.65 66,155.44 484,614.57
2023-09-29 37,552,854.69 40,243,622.78 10,231,868.96 7,541,100.87
2023-06-29 38,277,620.70 37,552,854.69 303,068.43 1,027,834.44
2023-03-30 33,470,837.90 38,277,620.70 6,869,457.45 2,062,674.65
2022-12-30 35,421,835.46 33,470,837.90 94,483.37 2,045,480.93
2022-09-29 36,495,597.44 35,421,835.46 355,674.73 1,429,436.71
2022-06-29 38,487,405.30 36,495,597.44 299,930.45 2,291,738.31
2022-03-30 40,070,478.42 38,487,405.30 868,257.62 2,451,330.74
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