首页 - 基金 - 华商鑫选回报一年持有混合C(013959) - 份额变动
华商鑫选回报一年持有混合C(013959)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 59,847,930.91 44,660,036.92 1,041,476.85 16,229,370.84
2024-09-29 64,939,058.94 59,847,930.91 1,327,900.81 6,419,028.84
2024-06-29 80,992,297.18 64,939,058.94 3,645,080.60 19,698,318.84
2024-03-30 97,474,294.38 80,992,297.18 1,767,407.77 18,249,404.97
2023-12-30 103,258,529.63 97,474,294.38 1,747,436.19 7,531,671.44
2023-09-29 107,655,730.28 103,258,529.63 5,936,673.37 10,333,874.02
2023-06-29 138,516,249.28 107,655,730.28 22,429,814.51 53,290,333.51
2023-03-30 114,254,278.93 138,516,249.28 24,261,970.35 -
2022-12-30 110,726,934.09 114,254,278.93 3,527,344.84 -
2022-09-29 110,281,774.57 110,726,934.09 445,159.52 -
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