首页 - 基金 - 国融融泰灵活配置混合C(006602) - 份额变动
国融融泰灵活配置混合C(006602)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)
2024-12-30 281,180,094.14 110,441,732.11 31,415,123.58 202,153,485.61
2024-09-29 241,784,638.54 281,180,094.14 167,619,817.22 128,224,361.62
2024-06-29 328,701,543.89 241,784,638.54 307,447,976.05 394,364,881.40
2024-03-30 41,128,243.32 328,701,543.89 715,576,730.94 428,003,430.37
2023-12-30 7,581,807.63 41,128,243.32 38,100,214.43 4,553,778.74
2023-09-29 4,003,981.33 7,581,807.63 33,007,086.80 29,429,260.50
2023-06-29 1,711,001.01 4,003,981.33 3,017,329.71 724,349.39
2023-03-30 1,354,350.00 1,711,001.01 896,629.50 539,978.49
2022-12-30 8,907,192.30 1,354,350.00 660,424.75 8,213,267.05
2022-09-29 1,398,426.33 8,907,192.30 9,184,263.50 1,675,497.53
2022-06-29 771,016.92 1,398,426.33 1,294,777.41 667,368.00
2022-03-30 592,757.89 771,016.92 800,073.86 621,814.83
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