首页 - 基金 - 招商盛鑫优选3个月持有(FOF)C(008159) - 份额变动
招商盛鑫优选3个月持有(FOF)C(008159)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 17,405,400.56 9,733,857.03 34,109.92 7,705,653.45
2024-09-29 17,547,128.14 17,405,400.56 9,123.33 150,850.91
2024-06-29 17,711,939.94 17,547,128.14 6,557.23 171,369.03
2024-03-30 18,004,058.85 17,711,939.94 37,889.35 330,008.26
2023-12-30 10,961,361.36 18,004,058.85 7,233,896.53 191,199.04
2023-09-29 10,955,839.09 10,961,361.36 45,815.44 40,293.17
2023-06-29 12,041,046.64 10,955,839.09 54,742.85 1,139,950.40
2023-03-30 12,159,691.71 12,041,046.64 168,452.44 287,097.51
2022-12-30 12,411,531.75 12,159,691.71 38,563.82 290,403.86
2022-09-29 12,777,034.22 12,411,531.75 72,547.65 438,050.12
2022-06-29 13,384,520.03 12,777,034.22 29,995.26 637,481.07
2022-03-30 13,805,131.95 13,384,520.03 10,200.56 430,812.48
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