首页 - 基金 - 南华丰淳混合C(005297) - 份额变动
南华丰淳混合C(005297)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 16,144,445.95 15,769,960.63 1,032,776.97 1,407,262.29
2023-12-30 17,717,166.96 16,144,445.95 456,733.15 2,029,454.16
2023-09-29 18,302,133.70 17,717,166.96 513,068.77 1,098,035.51
2023-06-29 18,328,791.83 18,302,133.70 1,254,488.54 1,281,146.67
2023-03-30 19,664,337.71 18,328,791.83 - 1,335,545.88
2022-12-30 21,455,524.07 19,664,337.71 - 1,791,186.36
2022-09-29 25,319,145.25 21,455,524.07 175,176,416.32 179,040,037.50
2022-06-29 29,668,130.09 25,319,145.25 3,773,635.46 8,122,620.30
2022-03-30 38,940,949.31 29,668,130.09 6,887,377.33 16,160,196.55
2021-12-30 33,359,011.53 38,940,949.31 29,677,261.18 24,095,323.40
2021-09-29 51,707,927.02 33,359,011.53 47,153,707.07 65,502,622.56
2021-06-29 13,549,680.39 51,707,927.02 83,731,782.90 45,573,536.27
2021-03-30 97,536,740.54 13,549,680.39 13,605,216.39 97,592,276.54
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