首页 - 基金 - 国寿安保稳鑫一年持有混合A(011510) - 份额变动
国寿安保稳鑫一年持有混合A(011510)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)
2025-09-29 969,425,908.84 724,756,034.74 196,816.20 244,866,690.30
2025-06-29 1,047,936,589.68 969,425,908.84 24,249.70 78,534,930.54
2025-03-30 1,108,744,139.55 1,047,936,589.68 56,748.40 60,864,298.27
2024-12-30 1,193,076,015.42 1,108,744,139.55 29,877.19 84,361,753.06
2024-09-29 1,266,248,361.97 1,193,076,015.42 120,183.50 73,292,530.05
2024-06-29 1,357,573,306.52 1,266,248,361.97 70,930.69 91,395,875.24
2024-03-30 1,484,704,392.05 1,357,573,306.52 98,487.43 127,229,572.96
2023-12-30 1,667,721,192.68 1,484,704,392.05 43,647.93 183,060,448.56
2023-09-29 2,012,004,028.38 1,667,721,192.68 130,864.90 344,413,700.60
2023-06-29 2,202,230,632.73 2,012,004,028.38 621,671.57 190,848,275.92
2023-03-30 2,429,598,678.24 2,202,230,632.73 600,174.75 227,968,220.26
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