首页 - 基金 - 中信保诚盛裕一年持有混合A(011713) - 份额变动
中信保诚盛裕一年持有混合A(011713)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)
2024-12-30 186,833,690.75 150,065,033.86 1,554.14 36,770,211.03
2024-09-29 208,081,539.69 186,833,690.75 43.69 21,247,892.63
2024-06-29 230,089,690.02 208,081,539.69 42,380.97 22,050,531.30
2024-03-30 244,887,273.44 230,089,690.02 422.00 14,798,005.42
2023-12-30 259,186,419.90 244,887,273.44 1,222.48 14,300,368.94
2023-09-29 282,805,024.67 259,186,419.90 484.89 23,619,089.66
2023-06-29 306,873,716.00 282,805,024.67 7,944.82 24,076,636.15
2023-03-30 339,002,198.43 306,873,716.00 823.34 32,129,305.77
2022-12-30 367,282,135.48 339,002,198.43 18,111.41 28,298,048.46
2022-09-29 425,616,164.21 367,282,135.48 32,558.35 58,366,587.08
2022-06-29 474,906,336.52 425,616,164.21 17,879.69 49,308,052.00
2022-03-30 474,884,016.78 474,906,336.52 22,319.74 -
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