首页 - 基金 - 鑫元鑫新收益灵活配置混合A(001601) - 份额变动
鑫元鑫新收益灵活配置混合A(001601)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 63,806,670.20 63,790,959.79 80,141.76 95,852.17
2023-09-29 63,762,000.81 63,806,670.20 153,284.83 108,615.44
2023-06-29 87,745,202.86 63,762,000.81 304,602.44 24,287,804.49
2023-03-30 103,789,949.28 87,745,202.86 266,174.46 16,310,920.88
2022-12-30 123,601,007.16 103,789,949.28 53,087.60 19,864,145.48
2022-09-29 128,611,669.53 123,601,007.16 64,461.62 5,075,123.99
2022-06-29 59,168,213.51 128,611,669.53 79,609,587.90 10,166,131.88
2022-03-30 59,003,630.22 59,168,213.51 268,125.01 103,541.72
2021-12-30 59,165,908.38 59,003,630.22 108,369.17 270,647.33
2021-09-29 42,909,865.20 59,165,908.38 17,088,967.08 832,923.90
2021-06-29 98,982,995.28 42,909,865.20 42,620,528.83 98,693,658.91
2021-03-30 98,766,042.39 98,982,995.28 410,058.94 193,106.05
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