首页 - 基金 - 华富益鑫灵活配置混合C(002729) - 份额变动
华富益鑫灵活配置混合C(002729)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 17,180,488.02 14,573,804.21 1,784,054.90 4,390,738.71
2023-09-29 14,898,087.76 17,180,488.02 4,449,562.48 2,167,162.22
2023-06-29 15,233,566.31 14,898,087.76 1,320,499.12 1,655,977.67
2023-03-30 26,171,020.87 15,233,566.31 2,835,219.52 13,772,674.08
2022-12-30 71,079,091.24 26,171,020.87 5,697,750.59 50,605,820.96
2022-09-29 181,423,476.61 71,079,091.24 10,698,579.36 121,042,964.73
2022-06-29 278,714,459.23 181,423,476.61 10,188,440.28 107,479,422.90
2022-03-30 347,791,961.54 278,714,459.23 12,256,761.80 81,334,264.11
2021-12-30 357,257,415.83 347,791,961.54 12,552,781.24 22,018,235.53
2021-09-29 243,944,606.55 357,257,415.83 148,536,072.92 35,223,263.64
2021-06-29 199,184,155.64 243,944,606.55 61,253,820.74 16,493,369.83
2021-03-30 231,276,535.92 199,184,155.64 40,150,884.07 72,243,264.35
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