首页 - 基金 - 平安增鑫六个月定开债A(009227) - 份额变动
平安增鑫六个月定开债A(009227)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 94,271,470.84 95,910,378.00 7,116,343.96 5,477,436.80
2024-09-29 94,271,470.84 94,271,470.84 - -
2024-06-29 27,982,113.35 94,271,470.84 66,808,105.54 518,748.05
2024-03-30 27,982,113.35 27,982,113.35 - -
2023-12-30 500,701,502.97 27,982,113.35 21,542,941.70 494,262,331.32
2023-09-29 500,690,885.55 500,701,502.97 10,617.42 -
2023-06-29 502,265,343.77 500,690,885.55 4,178.82 1,578,637.04
2023-03-30 502,265,343.77 502,265,343.77 - -
2022-12-30 507,520,748.07 502,265,343.77 38,354.25 5,293,758.55
2022-09-29 507,520,748.07 507,520,748.07 - -
2022-06-29 512,218,671.96 507,520,748.07 343,882.76 5,041,806.65
2022-03-30 512,218,671.96 512,218,671.96 - -
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