首页 - 基金 - 海通鑫选三个月持有债券A(851810) - 份额变动
海通鑫选三个月持有债券A(851810)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 35,250,561.50 93,515,823.64 63,228,076.33 4,962,814.19
2025-06-29 38,382,312.54 35,250,561.50 9,601.11 3,141,352.15
2025-03-30 39,506,027.39 38,382,312.54 428,160.32 1,551,875.17
2024-12-30 39,627,063.46 39,506,027.39 664,949.76 785,985.83
2024-09-29 40,366,179.59 39,627,063.46 - 739,116.13
2024-06-29 41,421,829.17 40,366,179.59 95,672.58 1,151,322.16
2024-03-30 44,762,743.84 41,421,829.17 107,846.80 3,448,761.47
2023-12-30 49,475,758.33 44,762,743.84 10.94 4,713,025.43
2023-09-29 50,994,205.29 49,475,758.33 2,182,852.70 3,701,299.66
2023-06-29 56,980,511.73 50,994,205.29 31,847.90 6,018,154.34
2023-03-30 58,917,599.27 56,980,511.73 31.85 1,937,119.39
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