首页 - 基金 - 万家瑞益灵活配置混合C(001636) - 份额变动
万家瑞益灵活配置混合C(001636)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)
2024-12-30 136,069,105.80 126,532,656.02 3,412,711.15 12,949,160.93
2024-09-29 143,123,137.40 136,069,105.80 2,391,209.56 9,445,241.16
2024-06-29 149,385,134.48 143,123,137.40 2,661,196.09 8,923,193.17
2024-03-30 161,019,670.00 149,385,134.48 2,903,829.77 14,538,365.29
2023-12-30 172,471,334.54 161,019,670.00 3,261,491.11 14,713,155.65
2023-09-29 183,307,968.31 172,471,334.54 4,890,979.98 15,727,613.75
2023-06-29 196,754,441.21 183,307,968.31 5,564,743.50 19,011,216.40
2023-03-30 206,028,368.13 196,754,441.21 7,024,088.40 16,298,015.32
2022-12-30 216,441,767.22 206,028,368.13 7,926,641.40 18,340,040.49
2022-09-29 230,418,548.89 216,441,767.22 11,337,806.41 25,314,588.08
2022-06-29 281,308,675.52 230,418,548.89 11,132,818.70 62,022,945.33
2022-03-30 338,904,601.68 281,308,675.52 23,441,705.26 81,037,631.42
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