首页 - 基金 - 博时睿祥15个月定开混合A(010194) - 份额变动
博时睿祥15个月定开混合A(010194)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)
2024-09-29 75,205,951.98 75,205,951.98 - -
2024-06-29 75,205,951.98 75,205,951.98 - -
2024-03-30 75,205,951.98 75,205,951.98 - -
2023-12-30 75,205,951.98 75,205,951.98 - -
2023-09-29 75,511,262.04 75,205,951.98 286.08 305,596.14
2023-06-29 75,511,262.04 75,511,262.04 - -
2023-03-30 75,511,262.04 75,511,262.04 - -
2022-12-30 75,511,262.04 75,511,262.04 - -
2022-09-29 75,511,262.04 75,511,262.04 - -
2022-06-29 46,337,825.58 75,511,262.04 29,199,819.54 26,383.08
2022-03-30 244,035,268.32 46,337,825.58 3,347.79 197,700,790.53
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