首页 - 基金 - 国联金融鑫选3个月持有混合C(013660) - 份额变动
国联金融鑫选3个月持有混合C(013660)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 66,246,092.12 53,843,786.60 189,473.00 12,591,778.52
2024-09-29 70,436,823.70 66,246,092.12 73,946.08 4,264,677.66
2024-06-29 77,721,805.81 70,436,823.70 148,750.62 7,433,732.73
2024-03-30 82,726,721.70 77,721,805.81 690,150.48 5,695,066.37
2023-12-30 87,922,540.38 82,726,721.70 1,289,510.00 6,485,328.68
2023-09-29 95,338,931.52 87,922,540.38 857,697.86 8,274,089.00
2023-06-29 102,293,069.39 95,338,931.52 1,031,092.82 7,985,230.69
2023-03-30 105,613,833.00 102,293,069.39 2,674,809.59 5,995,573.20
2022-12-30 111,106,780.78 105,613,833.00 1,166,609.08 6,659,556.86
2022-09-29 119,503,112.86 111,106,780.78 2,261,004.41 10,657,336.49
2022-06-29 133,583,183.46 119,503,112.86 1,639,416.31 15,719,486.91
2022-03-30 101,805,606.73 133,583,183.46 45,762,267.85 13,984,691.12
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