首页 - 基金 - 国投瑞银策略回报混合C(013637) - 份额变动
国投瑞银策略回报混合C(013637)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)
2025-03-30 11,321,791.91 10,917,989.03 244,712.49 648,515.37
2024-12-30 13,181,169.56 11,321,791.91 226,508.95 2,085,886.60
2024-09-29 13,514,081.73 13,181,169.56 137,283.02 470,195.19
2024-06-29 28,526,374.96 13,514,081.73 1,179,191.69 16,191,484.92
2024-03-30 15,317,832.58 28,526,374.96 14,795,699.03 1,587,156.65
2023-12-30 11,974,949.61 15,317,832.58 4,289,481.40 946,598.43
2023-09-29 11,465,255.76 11,974,949.61 2,915,097.62 2,405,403.77
2023-06-29 12,720,526.99 11,465,255.76 624,982.64 1,880,253.87
2023-03-30 13,598,566.10 12,720,526.99 2,863,065.35 3,741,104.46
2022-12-30 13,446,345.54 13,598,566.10 1,481,463.49 1,329,242.93
2022-09-29 15,024,389.88 13,446,345.54 1,309,665.67 2,887,710.01
2022-06-29 17,529,615.61 15,024,389.88 1,802,474.12 4,307,699.85
2022-03-30 20,009,434.34 17,529,615.61 1,396,643.14 3,876,461.87
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