首页 - 基金 - 泓德睿享一年持有期混合A(009015) - 份额变动
泓德睿享一年持有期混合A(009015)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 43,971,375.17 34,719,363.73 2,630,930.37 11,882,941.81
2024-09-29 49,221,050.09 43,971,375.17 647,668.34 5,897,343.26
2024-06-29 50,777,588.59 49,221,050.09 2,996,911.40 4,553,449.90
2024-03-30 50,753,596.25 50,777,588.59 3,057,794.93 3,033,802.59
2023-12-30 46,748,249.70 50,753,596.25 8,674,864.97 4,669,518.42
2023-09-29 49,337,467.46 46,748,249.70 1,743,690.55 4,332,908.31
2023-06-29 54,863,368.71 49,337,467.46 489,824.45 6,015,725.70
2023-03-30 223,111,973.44 54,863,368.71 479,387.83 168,727,992.56
2022-12-30 228,394,958.92 223,111,973.44 391,288.14 5,674,273.62
2022-09-29 263,259,443.66 228,394,958.92 1,143,682.09 36,008,166.83
2022-06-29 292,811,751.87 263,259,443.66 1,887,349.63 31,439,657.84
2022-03-30 621,533,914.63 292,811,751.87 166,839,892.96 495,562,055.72
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