首页 - 基金 - 华安新乐享灵活配置混合A(001800) - 份额变动
华安新乐享灵活配置混合A(001800)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 20,747,934.75 21,911,452.99 3,835,026.61 2,671,508.37
2024-09-29 21,993,438.79 20,747,934.75 478,066.58 1,723,570.62
2024-06-29 24,295,670.05 21,993,438.79 1,678,472.92 3,980,704.18
2024-03-30 38,260,872.53 24,295,670.05 764,551.53 14,729,754.01
2023-12-30 37,599,598.75 38,260,872.53 3,762,321.60 3,101,047.82
2023-09-29 21,886,080.55 37,599,598.75 17,259,913.73 1,546,395.53
2023-06-29 37,343,246.85 21,886,080.55 262,158.58 15,719,324.88
2023-03-30 55,630,886.39 37,343,246.85 478,041.71 18,765,681.25
2022-12-30 40,001,088.13 55,630,886.39 22,648,043.34 7,018,245.08
2022-09-29 27,231,326.90 40,001,088.13 14,763,562.35 1,993,801.12
2022-06-29 27,924,970.99 27,231,326.90 2,344,648.54 3,038,292.63
2022-03-30 29,279,481.97 27,924,970.99 1,734,011.33 3,088,522.31
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