首页 - 基金 - 创金合信沪港深精选混合(001662) - 份额变动
创金合信沪港深精选混合(001662)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 50,342,472.83 49,310,546.26 1,328,232.25 2,360,158.82
2024-09-29 50,818,243.82 50,342,472.83 692,641.85 1,168,412.84
2024-06-29 52,031,514.68 50,818,243.82 837,767.94 2,051,038.80
2024-03-30 52,270,349.24 52,031,514.68 1,101,051.18 1,339,885.74
2023-12-30 53,055,837.58 52,270,349.24 834,070.68 1,619,559.02
2023-09-29 53,084,790.89 53,055,837.58 1,121,658.37 1,150,611.68
2023-06-29 53,189,191.15 53,084,790.89 1,481,870.50 1,586,270.76
2023-03-30 53,438,663.98 53,189,191.15 1,375,926.91 1,625,399.74
2022-12-30 53,824,996.30 53,438,663.98 1,221,065.21 1,607,397.53
2022-09-29 54,770,461.01 53,824,996.30 1,289,851.77 2,235,316.48
2022-06-29 54,761,299.10 54,770,461.01 1,854,904.01 1,845,742.10
2022-03-30 54,328,154.79 54,761,299.10 2,775,914.35 2,342,770.04
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