首页 - 基金 - 新华外延增长主题灵活配置混合(003238) - 份额变动
新华外延增长主题灵活配置混合(003238)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 58,292,488.23 135,342,609.07 80,469,660.73 3,419,539.89
2024-09-29 58,579,972.60 58,292,488.23 132,969.95 420,454.32
2024-06-29 59,026,725.69 58,579,972.60 115,963.27 562,716.36
2024-03-30 66,557,428.26 59,026,725.69 290,723.32 7,821,425.89
2023-12-30 86,507,886.52 66,557,428.26 280,513.84 20,230,972.10
2023-09-29 87,205,321.92 86,507,886.52 132,973.45 830,408.85
2023-06-29 16,925,883.89 87,205,321.92 70,645,726.04 366,288.01
2023-03-30 26,610,631.28 16,925,883.89 412,883.65 10,097,631.04
2022-12-30 24,781,350.67 26,610,631.28 10,055,510.85 8,226,230.24
2022-09-29 17,630,956.45 24,781,350.67 7,647,235.39 496,841.17
2022-06-29 18,847,796.81 17,630,956.45 7,005,694.66 8,222,535.02
2022-03-30 18,540,091.78 18,847,796.81 6,325,708.77 6,018,003.74
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