首页 - 基金 - 宝盈祥裕增强回报混合A(008336) - 份额变动
宝盈祥裕增强回报混合A(008336)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 55,212,186.60 48,827,546.06 6,492.15 6,391,132.69
2024-09-29 56,386,206.30 55,212,186.60 4,468.03 1,178,487.73
2024-06-29 57,695,882.38 56,386,206.30 1,218.74 1,310,894.82
2024-03-30 59,785,985.37 57,695,882.38 3,806.55 2,093,909.54
2023-12-30 62,375,276.44 59,785,985.37 23,057.55 2,612,348.62
2023-09-29 65,651,750.54 62,375,276.44 22,870.23 3,299,344.33
2023-06-29 71,187,656.70 65,651,750.54 7,596.42 5,543,502.58
2023-03-30 74,884,225.37 71,187,656.70 10,401.95 3,706,970.62
2022-12-30 79,180,856.44 74,884,225.37 36,473.03 4,333,104.10
2022-09-29 87,279,784.81 79,180,856.44 158,105.79 8,257,034.16
2022-06-29 95,843,724.45 87,279,784.81 44,003.85 8,607,943.49
2022-03-30 218,833,421.32 95,843,724.45 88,031.96 123,077,728.83
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