首页 - 基金 - 银华心怡灵活配置混合C(014043) - 份额变动
银华心怡灵活配置混合C(014043)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)
2024-12-30 117,949,023.53 63,764,763.21 4,353,880.65 58,538,140.97
2024-09-29 97,160,750.36 117,949,023.53 23,842,643.78 3,054,370.61
2024-06-29 115,229,370.52 97,160,750.36 3,297,973.44 21,366,593.60
2024-03-30 155,652,021.81 115,229,370.52 12,459,605.27 52,882,256.56
2023-12-30 159,396,951.64 155,652,021.81 8,760,578.92 12,505,508.75
2023-09-29 166,700,561.11 159,396,951.64 6,540,846.31 13,844,455.78
2023-06-29 173,532,727.18 166,700,561.11 21,088,052.85 27,920,218.92
2023-03-30 204,675,861.76 173,532,727.18 111,922,369.09 143,065,503.67
2022-12-30 200,658,926.78 204,675,861.76 135,157,223.83 131,140,288.85
2022-09-29 244,777,067.92 200,658,926.78 122,665,390.29 166,783,531.43
2022-06-29 47,140,040.44 244,777,067.92 224,142,095.84 26,505,068.36
2022-03-30 24,388,166.52 47,140,040.44 34,525,566.25 11,773,692.33
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