首页 - 基金 - 万家瑞祥混合C(001634) - 份额变动
万家瑞祥混合C(001634)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 24,880,431.18 21,276,948.34 2,128,152.87 5,731,635.71
2024-09-29 25,912,241.23 24,880,431.18 1,961,248.32 2,993,058.37
2024-06-29 26,428,272.12 25,912,241.23 1,039,872.73 1,555,903.62
2024-03-30 29,425,317.23 26,428,272.12 413,988.02 3,411,033.13
2023-12-30 32,204,795.89 29,425,317.23 3,193,507.81 5,972,986.47
2023-09-29 52,884,222.34 32,204,795.89 4,320,792.57 25,000,219.02
2023-06-29 75,682,827.52 52,884,222.34 4,778,241.12 27,576,846.30
2023-03-30 80,702,205.02 75,682,827.52 3,409,575.29 8,428,952.79
2022-12-30 90,019,730.50 80,702,205.02 2,641,867.69 11,959,393.17
2022-09-29 101,289,725.02 90,019,730.50 9,394,406.80 20,664,401.32
2022-06-29 198,418,442.96 101,289,725.02 15,494,810.40 112,623,528.34
2022-03-30 272,004,831.12 198,418,442.96 36,103,113.10 109,689,501.26
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