首页 - 基金 - 融通多元收益一年持有期混合(011816) - 份额变动
融通多元收益一年持有期混合(011816)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 20,863,506.06 19,790,187.17 20,879.15 1,094,198.04
2024-12-30 22,759,129.63 20,863,506.06 400,108.65 2,295,732.22
2024-09-29 24,477,207.39 22,759,129.63 551.64 1,718,629.40
2024-06-29 27,693,057.71 24,477,207.39 53.22 3,215,903.54
2024-03-30 31,513,041.64 27,693,057.71 12,619.01 3,832,602.94
2023-12-30 32,913,450.22 31,513,041.64 5,937.84 1,406,346.42
2023-09-29 38,178,288.36 32,913,450.22 3,844.10 5,268,682.24
2023-06-29 50,682,011.75 38,178,288.36 6,686.05 12,510,409.44
2023-03-30 76,374,694.63 50,682,011.75 68,599.27 25,761,282.15
2022-12-30 111,835,572.70 76,374,694.63 197,894.93 35,658,773.00
2022-09-29 351,137,403.18 111,835,572.70 6,879.98 239,308,710.46
2022-06-29 351,102,382.19 351,137,403.18 35,020.99 -
2022-03-30 351,097,827.13 351,102,382.19 4,555.06 -
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