首页 - 基金 - 万家瑞泽回报一年持有混合(012195) - 份额变动
万家瑞泽回报一年持有混合(012195)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)
2024-12-30 132,164,148.48 110,942,673.19 295,933.75 21,517,409.04
2024-09-29 144,196,075.97 132,164,148.48 14,533.95 12,046,461.44
2024-06-29 176,548,875.01 144,196,075.97 22,103.06 32,374,902.10
2024-03-30 223,751,680.49 176,548,875.01 45,497.65 47,248,303.13
2023-12-30 235,580,158.08 223,751,680.49 340,750.89 12,169,228.48
2023-09-29 262,590,470.36 235,580,158.08 22,716.60 27,033,028.88
2023-06-29 301,674,979.67 262,590,470.36 152,382.50 39,236,891.81
2023-03-30 376,661,024.74 301,674,979.67 1,385,345.50 76,371,390.57
2022-12-30 437,986,934.90 376,661,024.74 29,371.96 61,355,282.12
2022-09-29 668,798,989.55 437,986,934.90 147,962.78 230,960,017.43
2022-06-29 1,147,301,877.78 668,798,989.55 980,702.95 479,483,591.18
2022-03-30 1,146,692,785.50 1,147,301,877.78 609,092.28 -
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