首页 - 基金 - 宏利泰和平衡养老目标三年持有混合(FOF)A(006306) - 份额变动
宏利泰和平衡养老目标三年持有混合(FOF)A(006306)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)
2024-12-30 101,260,963.98 93,148,134.22 1,613,631.74 9,726,461.50
2024-09-29 106,474,768.61 101,260,963.98 1,399,174.21 6,612,978.84
2024-06-29 110,749,760.35 106,474,768.61 1,634,480.82 5,909,472.56
2024-03-30 116,578,801.58 110,749,760.35 2,081,524.49 7,910,565.72
2023-12-30 121,375,625.60 116,578,801.58 2,114,097.80 6,910,921.82
2023-09-29 125,523,327.84 121,375,625.60 2,560,295.25 6,707,997.49
2023-06-29 129,646,536.56 125,523,327.84 2,727,518.66 6,850,727.38
2023-03-30 133,266,055.56 129,646,536.56 3,087,809.47 6,707,328.47
2022-12-30 135,997,262.70 133,266,055.56 2,995,107.75 5,726,314.89
2022-09-29 140,303,277.28 135,997,262.70 3,481,753.74 7,787,768.32
2022-06-29 145,549,098.71 140,303,277.28 4,082,756.62 9,328,578.05
2022-03-30 153,805,867.87 145,549,098.71 5,270,873.63 13,527,642.79
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