首页 - 基金 - 中信建投睿信灵活配置混合A(000926) - 份额变动
中信建投睿信灵活配置混合A(000926)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 29,510,133.23 22,576,433.26 3,487,306.58 10,421,006.55
2024-09-29 36,442,563.19 29,510,133.23 3,192,372.78 10,124,802.74
2024-06-29 42,761,952.41 36,442,563.19 32,181,506.13 38,500,895.35
2024-03-30 32,840,025.70 42,761,952.41 41,315,317.74 31,393,391.03
2023-12-30 30,245,605.50 32,840,025.70 22,805,211.62 20,210,791.42
2023-09-29 18,025,956.03 30,245,605.50 29,377,100.32 17,157,450.85
2023-06-29 17,803,348.09 18,025,956.03 3,890,534.32 3,667,926.38
2023-03-30 13,973,067.26 17,803,348.09 5,224,686.21 1,394,405.38
2022-12-30 13,526,713.73 13,973,067.26 2,326,169.36 1,879,815.83
2022-09-29 13,223,776.03 13,526,713.73 1,029,632.08 726,694.38
2022-06-29 13,277,554.99 13,223,776.03 314,193.42 367,972.38
2022-03-30 13,499,599.37 13,277,554.99 519,376.70 741,421.08
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