首页 - 基金 - 海富通稳健养老目标一年持有混合(FOF)A(007090) - 份额变动
海富通稳健养老目标一年持有混合(FOF)A(007090)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 78,745,096.51 59,488,592.96 1,714,309.83 20,970,813.38
2024-09-29 81,255,598.29 78,745,096.51 627,516.58 3,138,018.36
2024-06-29 85,439,546.56 81,255,598.29 655,474.13 4,839,422.40
2024-03-30 89,115,442.18 85,439,546.56 814,703.71 4,490,599.33
2023-12-30 112,564,733.70 89,115,442.18 1,243,684.32 24,692,975.84
2023-09-29 131,864,872.26 112,564,733.70 1,247,094.59 20,547,233.15
2023-06-29 180,825,764.70 131,864,872.26 1,828,651.47 50,789,543.91
2023-03-30 210,268,076.46 180,825,764.70 5,848,268.49 35,290,580.25
2022-12-30 214,184,495.03 210,268,076.46 2,026,205.62 5,942,624.19
2022-09-29 218,182,310.53 214,184,495.03 3,233,866.84 7,231,682.34
2022-06-29 163,971,376.73 218,182,310.53 59,181,906.32 4,970,972.52
2022-03-30 82,537,740.59 163,971,376.73 91,038,574.60 9,604,938.46
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