首页 - 基金 - 诺安精选回报混合(002067) - 份额变动
诺安精选回报混合(002067)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 15,462,141.23 14,675,135.50 1,650,250.85 2,437,256.58
2024-09-29 16,003,728.64 15,462,141.23 478,892.62 1,020,480.03
2024-06-29 15,964,386.70 16,003,728.64 1,837,352.77 1,798,010.83
2024-03-30 18,154,276.70 15,964,386.70 292,773.60 2,482,663.60
2023-12-30 33,994,762.08 18,154,276.70 1,550,626.73 17,391,112.11
2023-09-29 16,636,444.17 33,994,762.08 35,264,813.42 17,906,495.51
2023-06-29 5,496,202.01 16,636,444.17 16,621,088.18 5,480,846.02
2023-03-30 67,066,582.64 5,496,202.01 539,740.81 62,110,121.44
2022-12-30 74,063,495.57 67,066,582.64 1,464,480.03 8,461,392.96
2022-09-29 125,390,855.46 74,063,495.57 3,533,036.22 54,860,396.11
2022-06-29 248,816,824.25 125,390,855.46 3,007,568.12 126,433,536.91
2022-03-30 316,725,570.63 248,816,824.25 1,296,785.97 69,205,532.35
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