首页 - 基金 - 万家瑞盈灵活配置混合A(003734) - 份额变动
万家瑞盈灵活配置混合A(003734)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 1,088,480.73 884,420.77 36,273.06 240,333.02
2023-12-30 1,137,214.73 1,088,480.73 176,397.58 225,131.58
2023-09-29 1,111,347.63 1,137,214.73 54,655.48 28,788.38
2023-06-29 1,103,383.44 1,111,347.63 21,139.26 13,175.07
2023-03-30 920,614.92 1,103,383.44 213,283.28 30,514.76
2022-12-30 890,791.74 920,614.92 57,584.48 27,761.30
2022-09-29 966,158.54 890,791.74 15,312.93 90,679.73
2022-06-29 47,874,487.67 966,158.54 16,476.53 46,924,805.66
2022-03-30 47,871,195.14 47,874,487.67 49,462.84 46,170.31
2021-12-30 48,030,084.48 47,871,195.14 24,040.98 182,930.32
2021-09-29 303,932,029.04 48,030,084.48 29,322.33 255,931,266.89
2021-06-29 299,856,408.19 303,932,029.04 4,287,605.04 211,984.19
2021-03-30 57,680,441.37 299,856,408.19 255,835,718.64 13,659,751.82
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