首页 - 基金 - 国投瑞银竞争优势混合C(014211) - 份额变动
国投瑞银竞争优势混合C(014211)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)
2025-03-30 3,265,402.67 3,265,002.21 90,698.41 91,098.87
2024-12-30 3,599,093.98 3,265,402.67 85,778.02 419,469.33
2024-09-29 3,674,165.10 3,599,093.98 94,627.26 169,698.38
2024-06-29 3,193,498.16 3,674,165.10 604,589.36 123,922.42
2024-03-30 3,287,061.33 3,193,498.16 101,089.10 194,652.27
2023-12-30 3,391,204.67 3,287,061.33 29,404.66 133,548.00
2023-09-29 5,432,785.55 3,391,204.67 2,133,074.85 4,174,655.73
2023-06-29 5,990,440.58 5,432,785.55 772,757.44 1,330,412.47
2023-03-30 4,984,126.08 5,990,440.58 3,577,066.93 2,570,752.43
2022-12-30 5,179,233.75 4,984,126.08 335,296.21 530,403.88
2022-09-29 7,339,699.33 5,179,233.75 1,188,535.91 3,349,001.49
2022-06-29 10,549,108.40 7,339,699.33 854,811.18 4,064,220.25
2022-03-30 10,549,108.40 10,549,108.40 - -
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