首页 - 基金 - 兴全优选进取三个月持有(FOF)C(013255) - 份额变动
兴全优选进取三个月持有(FOF)C(013255)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 62,398,950.39 51,915,399.14 1,643,954.19 12,127,505.44
2024-09-29 64,793,140.45 62,398,950.39 1,938,077.73 4,332,267.79
2024-06-29 68,194,637.04 64,793,140.45 4,274,678.13 7,676,174.72
2024-03-30 70,202,319.99 68,194,637.04 8,486,747.77 10,494,430.72
2023-12-30 68,794,816.68 70,202,319.99 5,196,829.79 3,789,326.48
2023-09-29 75,198,602.65 68,794,816.68 7,050,835.81 13,454,621.78
2023-06-29 61,294,388.60 75,198,602.65 20,532,155.72 6,627,941.67
2023-03-30 44,223,331.76 61,294,388.60 23,137,874.37 6,066,817.53
2022-12-30 43,031,984.22 44,223,331.76 3,732,324.42 2,540,976.88
2022-09-29 42,532,388.40 43,031,984.22 4,692,284.45 4,192,688.63
2022-06-29 56,670,563.30 42,532,388.40 9,016,386.44 23,154,561.34
2022-03-30 17,515,991.65 56,670,563.30 41,005,367.22 1,850,795.57
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