首页 - 基金 - 南华价值启航纯债债券A(007189) - 份额变动
南华价值启航纯债债券A(007189)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 1,874,431,065.87 2,474,429,215.86 1,126,023,081.21 526,024,931.22
2023-12-30 2,133,022,964.94 1,874,431,065.87 139,203,932.88 397,795,831.95
2023-09-29 1,818,951,660.99 2,133,022,964.94 551,728,310.89 237,657,006.94
2023-06-29 1,123,493,110.83 1,818,951,660.99 965,604,203.39 270,145,653.23
2023-03-30 29,824,158.37 1,123,493,110.83 1,110,022,979.20 16,354,026.74
2022-12-30 20,954,477.99 29,824,158.37 42,420,875.50 33,551,195.12
2022-09-29 5,798.00 20,954,477.99 29,296,606.21 8,347,926.22
2022-06-29 500,055,238.92 5,798.00 2,923.43 500,052,364.35
2022-03-30 500,055,258.92 500,055,238.92 - 20.00
2021-12-30 500,055,278.87 500,055,258.92 - 19.95
2021-09-29 549,667,355.07 500,055,278.87 1,958.29 49,614,034.49
2021-06-29 549,667,353.96 549,667,355.07 1.11 -
2021-03-30 500,056,086.66 549,667,353.96 49,612,026.20 758.90
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