首页 - 基金 - 招商瑞丰灵活配置混合发起式A(000314) - 份额变动
招商瑞丰灵活配置混合发起式A(000314)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 60,339,144.85 49,646,198.31 2,338,917.28 13,031,863.82
2024-09-29 60,846,892.11 60,339,144.85 565,640.38 1,073,387.64
2024-06-29 166,724,739.55 60,846,892.11 972,374.99 106,850,222.43
2024-03-30 196,192,301.00 166,724,739.55 29,479,883.66 58,947,445.11
2023-12-30 229,724,395.27 196,192,301.00 260,154.57 33,792,248.84
2023-09-29 248,085,613.88 229,724,395.27 6,369,086.00 24,730,304.61
2023-06-29 266,522,454.88 248,085,613.88 1,200,846.93 19,637,687.93
2023-03-30 335,915,414.91 266,522,454.88 1,093,945.69 70,486,905.72
2022-12-30 311,170,903.18 335,915,414.91 32,859,079.86 8,114,568.13
2022-09-29 280,751,814.44 311,170,903.18 40,044,389.89 9,625,301.15
2022-06-29 534,358,135.47 280,751,814.44 44,757,899.03 298,364,220.06
2022-03-30 630,534,887.80 534,358,135.47 70,821,578.09 166,998,330.42
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