首页 - 基金 - 华夏保守养老一年持有混合(FOF)A(010281) - 份额变动
华夏保守养老一年持有混合(FOF)A(010281)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)
2025-09-29 87,507,399.90 116,231,687.26 38,984,268.98 10,259,981.62
2025-06-29 107,474,848.93 87,507,399.90 15,143,124.36 35,110,573.39
2025-03-30 237,467,509.61 107,474,848.93 2,230,023.61 132,222,684.29
2024-12-30 239,243,881.44 237,467,509.61 3,020,869.21 4,797,241.04
2024-09-29 243,895,724.28 239,243,881.44 405,389.68 5,057,232.52
2024-06-29 222,718,481.66 243,895,724.28 26,437,799.37 5,260,556.75
2024-03-30 60,710,726.22 222,718,481.66 165,802,432.24 3,794,676.80
2023-12-30 68,868,964.60 60,710,726.22 1,242,152.85 9,400,391.23
2023-09-29 70,915,089.03 68,868,964.60 5,607,779.41 7,653,903.84
2023-06-29 84,618,443.02 70,915,089.03 3,375,861.78 17,079,215.77
2023-03-30 103,234,444.46 84,618,443.02 957,153.78 19,573,155.22
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