首页 - 基金 - 创金合信鑫祥混合C(010606) - 份额变动
创金合信鑫祥混合C(010606)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 7,473,704.49 34,050,088.55 28,287,591.93 1,711,207.87
2024-09-29 38,743,298.19 7,473,704.49 2,579,868.59 33,849,462.29
2024-06-29 38,810,733.70 38,743,298.19 39,220,170.20 39,287,605.71
2024-03-30 37,409,276.26 38,810,733.70 38,585,886.05 37,184,428.61
2023-12-30 34,712,166.21 37,409,276.26 37,872,775.60 35,175,665.55
2023-09-29 34,639,440.70 34,712,166.21 33,366,291.03 33,293,565.52
2023-06-29 32,922,329.83 34,639,440.70 33,932,794.71 32,215,683.84
2023-03-30 41,115,926.16 32,922,329.83 31,344,414.73 39,538,011.06
2022-12-30 49,894,212.31 41,115,926.16 10,846,799.55 19,625,085.70
2022-09-29 3,442,178.12 49,894,212.31 49,788,037.71 3,336,003.52
2022-06-29 1,899,202.58 3,442,178.12 2,144,945.30 601,969.76
2022-03-30 1,279,538.95 1,899,202.58 5,217,673.04 4,598,009.41
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