首页 - 基金 - 农银汇理睿选灵活配置混合(005815) - 份额变动
农银汇理睿选灵活配置混合(005815)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 30,828,343.77 28,520,652.34 839,164.35 3,146,855.78
2024-09-29 31,144,674.95 30,828,343.77 3,267,874.59 3,584,205.77
2024-06-29 30,724,253.37 31,144,674.95 1,321,594.23 901,172.65
2024-03-30 31,488,566.98 30,724,253.37 1,052,360.57 1,816,674.18
2023-12-30 32,105,442.81 31,488,566.98 1,235,267.75 1,852,143.58
2023-09-29 34,271,698.58 32,105,442.81 851,497.30 3,017,753.07
2023-06-29 38,364,240.17 34,271,698.58 997,026.72 5,089,568.31
2023-03-30 39,012,803.07 38,364,240.17 1,508,275.23 2,156,838.13
2022-12-30 38,883,990.94 39,012,803.07 7,750,379.21 7,621,567.08
2022-09-29 36,823,205.24 38,883,990.94 5,399,613.33 3,338,827.63
2022-06-29 43,519,360.97 36,823,205.24 2,290,387.92 8,986,543.65
2022-03-30 38,555,975.09 43,519,360.97 8,968,557.70 4,005,171.82
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