首页 - 基金 - 中信建投睿选6个月持有混合(FOF)A(013844) - 份额变动
中信建投睿选6个月持有混合(FOF)A(013844)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 98,305,049.30 89,277,868.44 39,966.45 9,067,147.31
2024-09-29 102,829,621.32 98,305,049.30 114,584.60 4,639,156.62
2024-06-29 106,617,224.95 102,829,621.32 146,595.56 3,934,199.19
2024-03-30 111,450,791.23 106,617,224.95 70,358.30 4,903,924.58
2023-12-30 118,652,735.64 111,450,791.23 72,594.32 7,274,538.73
2023-09-29 126,066,509.91 118,652,735.64 197,148.52 7,610,922.79
2023-06-29 137,101,477.78 126,066,509.91 121,400.45 11,156,368.32
2023-03-30 148,610,584.06 137,101,477.78 210,695.51 11,719,801.79
2022-12-30 155,415,527.43 148,610,584.06 307,607.56 7,112,550.93
2022-09-29 172,669,867.62 155,415,527.43 524,280.96 17,778,621.15
2022-06-29 210,674,033.22 172,669,867.62 489,983.61 38,494,149.21
2022-03-30 210,200,723.70 210,674,033.22 473,309.52 -
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