首页 - 基金 - 平安兴鑫回报一年定开混合(011392) - 份额变动
平安兴鑫回报一年定开混合(011392)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)
2024-03-30 651,092,800.74 651,092,800.74 - -
2023-12-30 651,092,800.74 651,092,800.74 - -
2023-09-29 651,092,800.74 651,092,800.74 - -
2023-06-29 763,611,401.27 651,092,800.74 570,537.30 113,089,137.83
2023-03-30 817,195,817.42 763,611,401.27 41,464.70 53,625,880.85
2022-12-30 817,195,817.42 817,195,817.42 - -
2022-09-29 817,195,817.42 817,195,817.42 - -
2022-06-29 817,195,817.42 817,195,817.42 - -
2022-03-30 1,027,509,565.19 817,195,817.42 1,118,328.57 211,432,076.34
2021-12-30 1,027,509,565.19 1,027,509,565.19 - -
2021-09-29 1,027,509,565.19 1,027,509,565.19 - -
2021-06-29 1,027,509,565.19 1,027,509,565.19 - -
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