首页 - 基金 - 交银强化回报债券C(519735) - 份额变动
交银强化回报债券C(519735)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 3,941,748.02 3,660,166.06 16,176.43 297,758.39
2023-09-29 191,949,126.07 3,941,748.02 89,322.22 188,096,700.27
2023-06-29 101,309,177.56 191,949,126.07 471,422,696.05 380,782,747.54
2023-03-30 5,545,386.45 101,309,177.56 110,254,068.21 14,490,277.10
2022-12-30 6,082,957.36 5,545,386.45 328,099.36 865,670.27
2022-09-29 6,374,811.37 6,082,957.36 333,632.55 625,486.56
2022-06-29 6,971,262.40 6,374,811.37 1,810,430.88 2,406,881.91
2022-03-30 8,401,484.38 6,971,262.40 409,383.18 1,839,605.16
2021-12-30 10,076,966.51 8,401,484.38 2,352,690.81 4,028,172.94
2021-09-29 4,573,013.80 10,076,966.51 15,350,633.53 9,846,680.82
2021-06-29 4,714,989.08 4,573,013.80 1,636,807.86 1,778,783.14
2021-03-30 2,449,093.16 4,714,989.08 4,478,735.57 2,212,839.65
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