首页 - 基金 - 国寿创精选88ETF联接C(008899) - 份额变动
国寿创精选88ETF联接C(008899)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 7,626,316.98 5,806,228.41 7,602,202.65 9,422,291.22
2024-09-29 7,309,631.85 7,626,316.98 1,845,578.50 1,528,893.37
2024-06-29 7,048,917.14 7,309,631.85 14,473,416.96 14,212,702.25
2024-03-30 7,259,272.96 7,048,917.14 9,173,390.13 9,383,745.95
2023-12-30 7,612,211.38 7,259,272.96 2,997,708.75 3,350,647.17
2023-09-29 7,024,852.73 7,612,211.38 3,379,332.49 2,791,973.84
2023-06-29 6,508,457.59 7,024,852.73 6,204,955.71 5,688,560.57
2023-03-30 5,311,959.65 6,508,457.59 3,481,720.14 2,285,222.20
2022-12-30 5,636,936.40 5,311,959.65 1,680,569.40 2,005,546.15
2022-09-29 6,307,661.86 5,636,936.40 1,992,568.91 2,663,294.37
2022-06-29 6,929,029.21 6,307,661.86 4,004,341.68 4,625,709.03
2022-03-30 2,573,306.87 6,929,029.21 9,201,819.36 4,846,097.02
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