首页 - 基金 - 兴证资管金麒麟均衡优选一年持有混合A(970093) - 份额变动
兴证资管金麒麟均衡优选一年持有混合A(970093)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 31,454,407.04 25,064,029.48 80,624.78 6,471,002.34
2024-09-29 35,768,411.06 31,454,407.04 562.77 4,314,566.79
2024-06-29 35,782,251.12 35,768,411.06 27,336.46 41,176.52
2024-03-30 30,122,441.26 35,782,251.12 6,785,170.18 1,125,360.32
2023-12-30 32,326,199.60 30,122,441.26 156,063.97 2,359,822.31
2023-09-29 32,556,830.99 32,326,199.60 470,331.38 700,962.77
2023-06-29 23,565,484.48 32,556,830.99 9,344,477.49 353,130.98
2023-03-30 29,524,683.15 23,565,484.48 951,343.02 6,910,541.69
2022-12-30 25,493,515.46 29,524,683.15 4,045,834.56 14,666.87
2022-09-29 23,931,437.20 25,493,515.46 1,562,078.26 -
2022-06-29 17,633,735.15 23,931,437.20 6,297,702.05 -
2022-03-30 8,919,763.01 17,633,735.15 8,713,972.14 -
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