首页 - 基金 - 创金合信聚利债券C(001200) - 份额变动
创金合信聚利债券C(001200)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)
2024-03-30 1,040,304.73 1,027,374.74 11,198.01 24,128.00
2023-12-30 1,049,881.71 1,040,304.73 19,839.52 29,416.50
2023-09-29 1,060,378.69 1,049,881.71 45,681.36 56,178.34
2023-06-29 6,580,036.42 1,060,378.69 5,167,547.87 10,687,205.60
2023-03-30 26,908,203.04 6,580,036.42 5,614,061.77 25,942,228.39
2022-12-30 26,914,904.41 26,908,203.04 42,512.59 49,213.96
2022-09-29 26,926,565.31 26,914,904.41 13,857.20 25,518.10
2022-06-29 26,973,699.24 26,926,565.31 150,057.79 197,191.72
2022-03-30 26,973,694.40 26,973,699.24 177,306.42 177,301.58
2021-12-30 27,100,793.38 26,973,694.40 143,457.79 270,556.77
2021-09-29 1,881,300.66 27,100,793.38 26,496,250.92 1,276,758.20
2021-06-29 1,522,345.44 1,881,300.66 923,365.07 564,409.85
2021-03-30 1,935,511.47 1,522,345.44 1,843,010.13 2,256,176.16
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