首页 - 基金 - 招商瑞德一年持有期混合C(010689) - 份额变动
招商瑞德一年持有期混合C(010689)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 43,201,738.97 35,606,384.39 105,526.75 7,700,881.33
2024-09-29 47,451,694.42 43,201,738.97 44,488.85 4,294,444.30
2024-06-29 54,191,104.88 47,451,694.42 87,251.51 6,826,661.97
2024-03-30 59,343,556.30 54,191,104.88 24,623.79 5,177,075.21
2023-12-30 66,487,147.65 59,343,556.30 36,544.83 7,180,136.18
2023-09-29 79,741,619.34 66,487,147.65 72,875.67 13,327,347.36
2023-06-29 90,596,971.63 79,741,619.34 183,854.48 11,039,206.77
2023-03-30 106,461,939.62 90,596,971.63 202,973.94 16,067,941.93
2022-12-30 118,746,099.44 106,461,939.62 270,878.03 12,555,037.85
2022-09-29 136,821,414.12 118,746,099.44 413,844.52 18,489,159.20
2022-06-29 167,713,593.85 136,821,414.12 523,920.60 31,416,100.33
2022-03-30 291,033,781.32 167,713,593.85 5,060,758.49 128,380,945.96
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