首页 - 基金 - 国投瑞银瑞泰多策略混合C(011618) - 份额变动
国投瑞银瑞泰多策略混合C(011618)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)
2025-03-30 3,690,439.03 827,446.06 29,274.09 2,892,267.06
2024-12-30 8,472,642.09 3,690,439.03 3,644,178.80 8,426,381.86
2024-09-29 1,653,796.77 8,472,642.09 7,876,261.44 1,057,416.12
2024-06-29 1,471,172.87 1,653,796.77 487,331.90 304,708.00
2024-03-30 1,614,098.75 1,471,172.87 223,144.88 366,070.76
2023-12-30 3,511,007.05 1,614,098.75 107,487.98 2,004,396.28
2023-09-29 3,826,261.49 3,511,007.05 248,581.62 563,836.06
2023-06-29 4,411,277.00 3,826,261.49 114,712.54 699,728.05
2023-03-30 7,833,687.97 4,411,277.00 2,074,333.79 5,496,744.76
2022-12-30 60,167,914.17 7,833,687.97 1,353,640.41 53,687,866.61
2022-09-29 54,780,489.99 60,167,914.17 24,806,229.25 19,418,805.07
2022-06-29 53,666,351.14 54,780,489.99 1,442,188.96 328,050.11
2022-03-30 33,230,884.41 53,666,351.14 20,592,100.37 156,633.64
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