首页 - 基金 - 中信保诚至兴混合A(005977) - 份额变动
中信保诚至兴混合A(005977)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 28,801,337.09 28,922,247.21 1,868,303.28 1,747,393.16
2024-09-29 30,071,715.59 28,801,337.09 192,368.75 1,462,747.25
2024-06-29 31,908,193.49 30,071,715.59 320,839.50 2,157,317.40
2024-03-30 34,607,477.96 31,908,193.49 368,769.89 3,068,054.36
2023-12-30 48,581,820.77 34,607,477.96 549,692.18 14,524,034.99
2023-09-29 49,129,583.39 48,581,820.77 737,909.96 1,285,672.58
2023-06-29 50,046,086.61 49,129,583.39 1,834,625.25 2,751,128.47
2023-03-30 52,671,612.04 50,046,086.61 2,155,186.08 4,780,711.51
2022-12-30 62,057,308.95 52,671,612.04 1,234,131.42 10,619,828.33
2022-09-29 80,020,595.92 62,057,308.95 2,913,584.87 20,876,871.84
2022-06-29 271,379,380.28 80,020,595.92 11,215,607.05 202,574,391.41
2022-03-30 459,462,489.99 271,379,380.28 45,861,524.95 233,944,634.66
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