首页 - 基金 - 国联安鑫享灵活配置混合C(002186) - 份额变动
国联安鑫享灵活配置混合C(002186)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 5,683,184.46 3,904,834.51 135,590.71 1,913,940.66
2024-09-29 16,528,147.64 5,683,184.46 18,278.89 10,863,242.07
2024-06-29 6,726,383.11 16,528,147.64 10,554,475.57 752,711.04
2024-03-30 7,228,585.66 6,726,383.11 26,330.04 528,532.59
2023-12-30 8,228,487.69 7,228,585.66 32,396.94 1,032,298.97
2023-09-29 8,290,559.90 8,228,487.69 214,950.82 277,023.03
2023-06-29 20,976,078.74 8,290,559.90 73,783.70 12,759,302.54
2023-03-30 72,992,018.57 20,976,078.74 260,897.14 52,276,836.97
2022-12-30 142,138,775.18 72,992,018.57 249,148.73 69,395,905.34
2022-09-29 208,057,076.33 142,138,775.18 15,924,554.18 81,842,855.33
2022-06-29 443,025,707.46 208,057,076.33 38,210,827.03 273,179,458.16
2022-03-30 574,358,121.71 443,025,707.46 11,252,369.51 142,584,783.76
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