首页 - 基金 - 招商资管睿丰三个月持有期债券C(881011) - 份额变动
招商资管睿丰三个月持有期债券C(881011)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 31,039,418.85 34,815,005.96 9,394,576.43 5,618,989.32
2025-06-29 30,629,060.18 31,039,418.85 3,225,153.45 2,814,794.78
2025-03-30 30,912,039.68 30,629,060.18 4,360,969.33 4,643,948.83
2024-12-30 31,993,454.60 30,912,039.68 - 1,081,414.92
2024-09-29 44,801,490.43 37,333,813.02 683,867.03 8,151,544.44
2024-06-29 46,112,484.21 44,801,490.43 4,565,756.67 5,876,750.45
2024-03-30 60,648,738.07 46,112,484.21 902,583.30 15,438,837.16
2023-12-30 85,315,217.00 60,648,738.07 337,136.48 25,003,615.41
2023-09-29 106,120,007.22 85,315,217.00 5,304,482.85 26,109,273.07
2023-06-29 139,521,148.22 106,120,007.22 14,520,825.71 47,921,966.71
2023-03-30 284,621,926.14 139,521,148.22 16,091,016.52 161,191,794.44
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