首页 - 基金 - 鑫元金融债3个月定开(013115) - 份额变动
鑫元金融债3个月定开(013115)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 98,228,394.93 2,026,634,950.86 1,928,407,233.91 677.98
2024-09-29 98,228,375.82 98,228,394.93 48.64 29.53
2024-06-29 98,228,337.31 98,228,375.82 68.33 29.82
2024-03-30 2,572,350,033.73 98,228,337.31 0.45 2,474,121,696.87
2023-12-30 1,000,009,389.12 2,572,350,033.73 1,572,340,674.48 29.87
2023-09-29 1,099,007,219.93 1,000,009,389.12 1,278.19 98,999,109.00
2023-06-29 1,148,327,633.63 1,099,007,219.93 0.36 49,320,414.06
2023-03-30 1,148,327,663.45 1,148,327,633.63 - 29.82
2022-12-30 1,148,329,374.74 1,148,327,663.45 286.83 1,998.12
2022-09-29 1,148,329,394.52 1,148,329,374.74 0.10 19.88
2022-06-29 1,099,011,018.24 1,148,329,394.52 49,318,406.10 29.82
2022-03-30 1,099,011,028.08 1,099,011,018.24 0.10 9.94
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