首页 - 基金 - 国联鑫价值混合C(004837) - 份额变动
国联鑫价值混合C(004837)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 11,348,157.06 51,344,840.58 42,768,747.55 2,772,064.03
2024-09-29 37,773,062.51 11,348,157.06 646,798.23 27,071,703.68
2024-06-29 21,327,164.23 37,773,062.51 18,465,329.33 2,019,431.05
2024-03-30 27,545,427.89 21,327,164.23 16,090,579.81 22,308,843.47
2023-12-30 30,739,493.01 27,545,427.89 8,960,879.90 12,154,945.02
2023-09-29 17,833,199.56 30,739,493.01 19,471,473.08 6,565,179.63
2023-06-29 19,520,259.83 17,833,199.56 13,813,842.51 15,500,902.78
2023-03-30 24,476,479.42 19,520,259.83 3,138,862.80 8,095,082.39
2022-12-30 27,059,439.34 24,476,479.42 3,067,207.55 5,650,167.47
2022-09-29 27,227,474.56 27,059,439.34 5,959,641.47 6,127,676.69
2022-06-29 28,705,863.64 27,227,474.56 6,823,762.92 8,302,152.00
2022-03-30 27,521,366.68 28,705,863.64 7,342,520.48 6,158,023.52
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