首页 - 基金 - 鑫元欣享灵活配置混合C(005263) - 份额变动
鑫元欣享灵活配置混合C(005263)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 62,336,180.96 60,051,623.25 1,746,859.32 4,031,417.03
2024-09-29 47,423,604.79 62,336,180.96 15,782,805.24 870,229.07
2024-06-29 39,438,188.21 47,423,604.79 8,742,065.67 756,649.09
2024-03-30 54,678,286.85 39,438,188.21 1,873,851.76 17,113,950.40
2023-12-30 50,161,415.67 54,678,286.85 8,188,478.15 3,671,606.97
2023-09-29 139,511,082.08 50,161,415.67 1,456,517.80 90,806,184.21
2023-06-29 101,636,243.47 139,511,082.08 99,840,725.07 61,965,886.46
2023-03-30 62,354,258.28 101,636,243.47 46,991,822.24 7,709,837.05
2022-12-30 13,742,103.33 62,354,258.28 51,978,919.07 3,366,764.12
2022-09-29 6,265,191.25 13,742,103.33 9,701,992.01 2,225,079.93
2022-06-29 6,086,885.13 6,265,191.25 1,678,500.30 1,500,194.18
2022-03-30 6,042,136.04 6,086,885.13 1,987,745.54 1,942,996.45
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