首页 - 基金 - 交银优选回报灵活配置混合A(519768) - 份额变动
交银优选回报灵活配置混合A(519768)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)
2024-12-30 144,864,885.32 111,628,151.40 1,081,397.70 34,318,131.62
2024-09-29 184,951,653.01 144,864,885.32 717,330.51 40,804,098.20
2024-06-29 213,760,224.68 184,951,653.01 1,014,098.45 29,822,670.12
2024-03-30 246,248,179.03 213,760,224.68 1,831,965.96 34,319,920.31
2023-12-30 281,902,116.22 246,248,179.03 2,487,965.54 38,141,902.73
2023-09-29 313,184,379.95 281,902,116.22 4,101,224.21 35,383,487.94
2023-06-29 377,934,409.72 313,184,379.95 5,530,242.64 70,280,272.41
2023-03-30 430,767,886.91 377,934,409.72 9,173,585.47 62,007,062.66
2022-12-30 589,833,008.34 430,767,886.91 8,775,559.69 167,840,681.12
2022-09-29 643,471,707.80 589,833,008.34 61,995,181.47 115,633,880.93
2022-06-29 848,598,641.15 643,471,707.80 74,205,103.37 279,332,036.72
2022-03-30 851,738,347.92 848,598,641.15 120,389,883.74 123,529,590.51
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