首页 - 基金 - 新华稳健回报灵活配置混合发起(001004) - 份额变动
新华稳健回报灵活配置混合发起(001004)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)
2023-12-30 53,993,181.10 50,070,535.85 17,441.68 3,940,086.93
2023-09-29 54,122,543.81 53,993,181.10 78,526.12 207,888.83
2023-06-29 57,965,532.11 54,122,543.81 84,208.83 3,927,197.13
2023-03-30 57,841,860.30 57,965,532.11 192,041.04 68,369.23
2022-12-30 62,041,707.62 57,841,860.30 115,892.49 4,315,739.81
2022-09-29 61,814,891.69 62,041,707.62 317,497.64 90,681.71
2022-06-29 63,815,889.28 61,814,891.69 110,522.83 2,111,520.42
2022-03-30 63,949,194.00 63,815,889.28 79,014.92 212,319.64
2021-12-30 73,617,858.42 63,949,194.00 80,948.84 9,749,613.26
2021-09-29 74,078,935.51 73,617,858.42 246,269.06 707,346.15
2021-06-29 98,964,276.02 74,078,935.51 243,761.15 25,129,101.66
2021-03-30 99,285,558.08 98,964,276.02 497,192.44 818,474.50
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