首页 - 基金 - 国联安安泰灵活配置混合(000058) - 份额变动
国联安安泰灵活配置混合(000058)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)
2024-12-30 251,139,905.73 253,847,706.22 19,264,271.53 16,556,471.04
2024-09-29 289,230,811.49 251,139,905.73 7,630,470.63 45,721,376.39
2024-06-29 334,237,868.55 289,230,811.49 609,688.20 45,616,745.26
2024-03-30 375,787,536.36 334,237,868.55 337,285.03 41,886,952.84
2023-12-30 306,041,696.16 375,787,536.36 70,522,470.44 776,630.24
2023-09-29 236,577,887.70 306,041,696.16 70,591,317.80 1,127,509.34
2023-06-29 215,181,332.81 236,577,887.70 22,176,393.56 779,838.67
2023-03-30 236,428,019.90 215,181,332.81 47,020,425.83 68,267,112.92
2022-12-30 285,461,201.51 236,428,019.90 135,858.30 49,169,039.91
2022-09-29 350,291,206.77 285,461,201.51 115,880.80 64,945,886.06
2022-06-29 455,769,587.10 350,291,206.77 102,491.52 105,580,871.85
2022-03-30 524,048,274.17 455,769,587.10 415,600.51 68,694,287.58
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