首页 - 基金 - 新华红利回报混合(003025) - 份额变动
新华红利回报混合(003025)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)
2024-12-30 156,489,142.23 153,364,677.47 140,550.93 3,265,015.69
2024-09-29 166,354,923.65 156,489,142.23 217,716.29 10,083,497.71
2024-06-29 171,792,053.72 166,354,923.65 80,733.14 5,517,863.21
2024-03-30 174,781,634.38 171,792,053.72 240,537.72 3,230,118.38
2023-12-30 194,554,875.95 174,781,634.38 100,130.22 19,873,371.79
2023-09-29 204,436,195.75 194,554,875.95 149,187.01 10,030,506.81
2023-06-29 222,639,436.81 204,436,195.75 118,870.58 18,322,111.64
2023-03-30 237,740,764.52 222,639,436.81 131,556.43 15,232,884.14
2022-12-30 260,872,882.86 237,740,764.52 267,979.57 23,400,097.91
2022-09-29 310,745,786.57 260,872,882.86 494,839.48 50,367,743.19
2022-06-29 355,303,385.00 310,745,786.57 684,811.46 45,242,409.89
2022-03-30 468,388,718.62 355,303,385.00 3,501,307.86 116,586,641.48
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