首页 - 基金 - 中信保诚新选混合B(002030) - 份额变动
中信保诚新选混合B(002030)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 19,961,590.05 18,819,049.38 226,543.16 1,369,083.83
2024-09-29 19,890,993.64 19,961,590.05 180,007.14 109,410.73
2024-06-29 20,031,350.42 19,890,993.64 37,829.74 178,186.52
2024-03-30 13,725,620.89 20,031,350.42 7,691,622.44 1,385,892.91
2023-12-30 7,930,955.20 13,725,620.89 6,845,525.25 1,050,859.56
2023-09-29 8,981,407.00 7,930,955.20 82,413.72 1,132,865.52
2023-06-29 27,032,043.18 8,981,407.00 4,129,119.89 22,179,756.07
2023-03-30 28,123,709.99 27,032,043.18 101,793.34 1,193,460.15
2022-12-30 29,229,165.45 28,123,709.99 197,720.75 1,303,176.21
2022-09-29 208,664,173.06 29,229,165.45 696,605.04 180,131,612.65
2022-06-29 289,275,353.74 208,664,173.06 1,402,722.33 82,013,903.01
2022-03-30 363,840,088.57 289,275,353.74 105,139,158.74 179,703,893.57
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