首页 - 基金 - 泰康新回报灵活配置混合A(001798) - 份额变动
泰康新回报灵活配置混合A(001798)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)
2025-03-30 61,376,967.99 38,155,660.74 786,986.13 24,008,293.38
2024-12-30 62,166,814.81 61,376,967.99 403,841.55 1,193,688.37
2024-09-29 62,239,098.68 62,166,814.81 458,849.74 531,133.61
2024-06-29 62,300,222.39 62,239,098.68 70,164.81 131,288.52
2024-03-30 63,434,566.30 62,300,222.39 113,193.33 1,247,537.24
2023-12-30 63,762,644.50 63,434,566.30 108,583.15 436,661.35
2023-09-29 64,538,162.75 63,762,644.50 138,183.47 913,701.72
2023-06-29 64,705,517.91 64,538,162.75 338,113.76 505,468.92
2023-03-30 66,156,984.39 64,705,517.91 164,149.66 1,615,616.14
2022-12-30 67,935,773.26 66,156,984.39 183,489.49 1,962,278.36
2022-09-29 68,792,891.43 67,935,773.26 238,056.52 1,095,174.69
2022-06-29 69,793,981.03 68,792,891.43 248,879.98 1,249,969.58
2022-03-30 74,728,117.64 69,793,981.03 450,859.56 5,384,996.17
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