首页 - 基金 - 嘉合磐昇纯债C(007333) - 份额变动
嘉合磐昇纯债C(007333)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)
2024-12-30 179,060,744.79 104,173,780.08 197,209,743.80 272,096,708.51
2024-09-29 408,296,609.61 179,060,744.79 843,140,118.82 1,072,375,983.64
2024-06-29 389,603,358.31 408,296,609.61 661,254,816.22 642,561,564.92
2024-03-30 938,076,834.88 389,603,358.31 1,308,632,435.52 1,857,105,912.09
2023-12-30 18,752,103.30 938,076,834.88 2,146,695,983.70 1,227,371,252.12
2023-09-29 14,156,468.59 18,752,103.30 83,801,012.36 79,205,377.65
2023-06-29 16,943,420.00 14,156,468.59 23,987,842.02 26,774,793.43
2023-03-30 15,065,926.71 16,943,420.00 24,332,872.86 22,455,379.57
2022-12-30 18,732,090.33 15,065,926.71 22,336,850.99 26,003,014.61
2022-09-29 20,749,441.26 18,732,090.33 20,581,408.37 22,598,759.30
2022-06-29 17,360,229.36 20,749,441.26 31,656,015.09 28,266,803.19
2022-03-30 24,391,367.81 17,360,229.36 37,327,674.16 44,358,812.61
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