首页 - 基金 - 国投瑞银稳健养老目标一年持有混合(FOF)A(006876) - 份额变动
国投瑞银稳健养老目标一年持有混合(FOF)A(006876)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)
2025-03-30 36,041,826.43 34,400,645.48 226,311.42 1,867,492.37
2024-12-30 41,121,491.09 36,041,826.43 178,026.51 5,257,691.17
2024-09-29 46,181,527.66 41,121,491.09 139,014.17 5,199,050.74
2024-06-29 50,777,522.00 46,181,527.66 154,019.47 4,750,013.81
2024-03-30 54,705,653.18 50,777,522.00 227,558.27 4,155,689.45
2023-12-30 58,542,258.91 54,705,653.18 243,154.73 4,079,760.46
2023-09-29 62,837,141.67 58,542,258.91 580,983.43 4,875,866.19
2023-06-29 68,744,468.32 62,837,141.67 913,129.57 6,820,456.22
2023-03-30 76,078,622.56 68,744,468.32 1,260,716.29 8,594,870.53
2022-12-30 83,137,003.13 76,078,622.56 1,012,982.44 8,071,363.01
2022-09-29 95,470,040.39 83,137,003.13 1,890,369.73 14,223,406.99
2022-06-29 106,413,387.73 95,470,040.39 2,559,949.66 13,503,297.00
2022-03-30 119,941,818.14 106,413,387.73 3,000,157.30 16,528,587.71
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