首页 - 基金 - 中金安心回报灵活配置混合A(920011) - 份额变动
中金安心回报灵活配置混合A(920011)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)
2023-12-30 121,116,435.59 116,673,161.52 32,520.26 4,475,794.33
2023-09-29 131,085,492.42 121,116,435.59 175,431.69 10,144,488.52
2023-06-29 153,745,612.94 131,085,492.42 116,309.27 22,776,429.79
2023-03-30 173,950,423.80 153,745,612.94 515,047.06 20,719,857.92
2022-12-30 181,945,760.98 173,950,423.80 90,977.75 8,086,314.93
2022-09-29 196,907,636.68 181,945,760.98 117,733.19 15,079,608.89
2022-06-29 206,016,564.87 196,907,636.68 179,770.36 9,288,698.55
2022-03-30 236,402,959.95 206,016,564.87 378,163.19 30,764,558.27
2021-12-30 297,017,186.28 236,402,959.95 1,926,799.91 62,541,026.24
2021-09-29 447,619,669.71 297,017,186.28 1,544,559.03 152,147,042.46
2021-06-29 573,082,025.58 447,619,669.71 13,541,563.39 139,003,919.26
2021-03-30 913,422,562.16 573,082,025.58 97,109,183.15 437,449,719.73
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