首页 - 基金 - 万家惠裕回报6个月持有期混合A(011243) - 份额变动
万家惠裕回报6个月持有期混合A(011243)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 63,624,422.83 57,124,837.60 167,911.56 6,667,496.79
2025-06-29 41,396,584.03 63,624,422.83 24,048,499.93 1,820,661.13
2025-03-30 47,557,571.51 41,396,584.03 198,162.01 6,359,149.49
2024-12-30 54,944,153.95 47,557,571.51 109,623.85 7,496,206.29
2024-09-29 56,647,908.70 54,944,153.95 114,921.37 1,818,676.12
2024-06-29 62,599,882.07 56,647,908.70 17,802.37 5,969,775.74
2024-03-30 67,058,500.78 62,599,882.07 37,248.83 4,495,867.54
2023-12-30 71,664,310.89 67,058,500.78 20,188.80 4,625,998.91
2023-09-29 85,421,994.68 71,664,310.89 124,417.04 13,882,100.83
2023-06-29 102,276,255.35 85,421,994.68 42,152.11 16,896,412.78
2023-03-30 125,717,813.03 102,276,255.35 164,367.17 23,605,924.85
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