首页 - 基金 - 嘉合锦元回报混合A(011015) - 份额变动
嘉合锦元回报混合A(011015)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 40,485,040.26 40,370,976.93 3,928,964.09 4,043,027.42
2024-09-29 42,998,816.96 40,485,040.26 396,413.49 2,910,190.19
2024-06-29 45,188,633.22 42,998,816.96 391,978.62 2,581,794.88
2024-03-30 48,072,821.42 45,188,633.22 438,734.40 3,322,922.60
2023-12-30 52,132,485.30 48,072,821.42 25,633.29 4,085,297.17
2023-09-29 58,538,687.25 52,132,485.30 60,457.64 6,466,659.59
2023-06-29 64,849,631.77 58,538,687.25 6,521.81 6,317,466.33
2023-03-30 75,686,307.07 64,849,631.77 65,240.82 10,901,916.12
2022-12-30 81,842,027.15 75,686,307.07 6,090.93 6,161,811.01
2022-09-29 96,111,257.36 81,842,027.15 80,071.66 14,349,301.87
2022-06-29 112,467,738.63 96,111,257.36 5,798.35 16,362,279.62
2022-03-30 135,112,831.80 112,467,738.63 113,275.15 22,758,368.32
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