首页 - 基金 - 国泰君安君得益三个月持有混合(FOF)A(952013) - 份额变动
国泰君安君得益三个月持有混合(FOF)A(952013)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)
2024-12-30 709,107,966.05 665,108,382.87 616,036.24 44,615,619.42
2024-09-29 735,388,729.71 709,107,966.05 208,321.37 26,489,085.03
2024-06-29 762,679,514.06 735,388,729.71 214,693.34 27,505,477.69
2024-03-30 790,505,619.24 762,679,514.06 575,504.98 28,401,610.16
2023-12-30 852,635,500.23 790,505,619.24 359,525.07 62,489,406.06
2023-09-29 905,875,266.09 852,635,500.23 301,291.58 53,541,057.44
2023-06-29 945,966,794.60 905,875,266.09 461,258.57 40,552,787.08
2023-03-30 989,136,928.92 945,966,794.60 526,076.00 43,696,210.32
2022-12-30 1,012,310,090.68 989,136,928.92 1,207,843.18 24,381,004.94
2022-09-29 1,088,607,934.41 1,012,310,090.68 1,026,100.88 77,323,944.61
2022-06-29 1,199,021,892.53 1,088,607,934.41 1,490,163.97 111,904,122.09
2022-03-30 1,281,177,315.74 1,199,021,892.53 23,918,865.33 106,074,288.54
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