首页 - 基金 - 东兴兴盈三个月定开债A(013164) - 份额变动
东兴兴盈三个月定开债A(013164)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)
2024-12-30 384,904,646.30 304,600,664.17 17,145,556.72 97,449,538.85
2024-09-29 229,865,879.40 384,904,646.30 155,041,265.67 2,498.77
2024-06-29 324,908,213.19 229,865,879.40 1,968,901.35 97,011,235.14
2024-03-30 324,889,253.05 324,908,213.19 19,010.70 50.56
2023-12-30 271,753,653.23 324,889,253.05 130,918,899.37 77,783,299.55
2023-09-29 1,022,045.18 271,753,653.23 271,759,020.16 1,027,412.11
2023-06-29 101,144,672.56 1,022,045.18 18,971.38 100,141,598.76
2023-03-30 299,156,704.07 101,144,672.56 11,028.93 198,023,060.44
2022-12-30 200,761,359.43 299,156,704.07 98,395,847.27 502.63
2022-09-29 718,660,232.71 200,761,359.43 - 517,898,873.28
2022-06-29 770,218,470.38 718,660,232.71 398,513,867.88 450,072,105.55
2022-03-30 870,108,791.22 770,218,470.38 - 99,890,320.84
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