首页 - 基金 - 国联安鑫元1个月持有混合A(010931) - 份额变动
国联安鑫元1个月持有混合A(010931)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 98,540,825.75 98,515,116.64 - 25,709.11
2024-09-29 98,543,446.94 98,540,825.75 - 2,621.19
2024-06-29 98,808,279.21 98,543,446.94 - 264,832.27
2024-03-30 188,994,974.40 98,808,279.21 98.73 90,186,793.92
2023-12-30 188,982,285.61 188,994,974.40 46,043.24 33,354.45
2023-09-29 188,481,865.78 188,982,285.61 1,178,822.74 678,402.91
2023-06-29 188,443,574.81 188,481,865.78 106,927.45 68,636.48
2023-03-30 188,492,392.60 188,443,574.81 12,972.12 61,789.91
2022-12-30 188,511,958.92 188,492,392.60 988.97 20,555.29
2022-09-29 228,618,916.50 188,511,958.92 6,861.12 40,113,818.70
2022-06-29 248,734,610.91 228,618,916.50 3,138.54 20,118,832.95
2022-03-30 248,953,991.67 248,734,610.91 16,020.57 235,401.33
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