首页 - 基金 - 新华鑫益灵活配置混合A(014150) - 份额变动
新华鑫益灵活配置混合A(014150)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 79,245,229.83 65,433,982.98 683,919.53 14,495,166.38
2024-09-29 85,869,883.47 79,245,229.83 3,769,841.13 10,394,494.77
2024-06-29 92,483,897.71 85,869,883.47 229,561.73 6,843,575.97
2024-03-30 108,145,730.52 92,483,897.71 500,412.03 16,162,244.84
2023-12-30 143,719,094.18 108,145,730.52 1,572,575.34 37,145,939.00
2023-09-29 142,348,235.38 143,719,094.18 7,906,931.46 6,536,072.66
2023-06-29 138,264,269.65 142,348,235.38 36,322,387.96 32,238,422.23
2023-03-30 141,893,872.34 138,264,269.65 17,501,053.02 21,130,655.71
2022-12-30 265,189,726.41 141,893,872.34 34,490,926.32 157,786,780.39
2022-09-29 281,488,893.70 265,189,726.41 6,859,488.60 23,158,655.89
2022-06-29 194,705,819.48 281,488,893.70 96,522,924.37 9,739,850.15
2022-03-30 102,088,551.27 194,705,819.48 117,194,102.04 24,576,833.83
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