首页 - 基金 - 华夏聚丰稳健混合发起式(FOF)C(005958) - 份额变动
华夏聚丰稳健混合发起式(FOF)C(005958)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 76,939,550.69 73,187,011.91 2,932,812.93 6,685,351.71
2023-09-29 83,465,383.28 76,939,550.69 749,775.53 7,275,608.12
2023-06-29 88,488,252.76 83,465,383.28 1,340,653.12 6,363,522.60
2023-03-30 79,029,788.90 88,488,252.76 15,901,246.96 6,442,783.10
2022-12-30 87,680,205.99 79,029,788.90 2,539,438.77 11,189,855.86
2022-09-29 98,561,339.97 87,680,205.99 4,940,948.95 15,822,082.93
2022-06-29 108,984,893.76 98,561,339.97 6,302,610.12 16,726,163.91
2022-03-30 107,756,969.56 108,984,893.76 30,105,955.36 28,878,031.16
2021-12-30 59,463,409.49 107,756,969.56 65,034,445.89 16,740,885.82
2021-09-29 28,992,818.38 59,463,409.49 46,292,840.00 15,822,248.89
2021-06-29 24,766,432.15 28,992,818.38 10,064,765.28 5,838,379.05
2021-03-30 22,893,959.89 24,766,432.15 6,992,487.52 5,120,015.26
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