首页 - 基金 - 上银慧尚6个月持有期混合A(012334) - 份额变动
上银慧尚6个月持有期混合A(012334)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 26,128,895.84 20,421,434.89 84,662.05 5,792,123.00
2025-06-29 30,442,208.88 26,128,895.84 14,475.15 4,327,788.19
2025-03-30 34,253,293.88 30,442,208.88 32,954.54 3,844,039.54
2024-12-30 40,983,893.80 34,253,293.88 247,367.04 6,977,966.96
2024-09-29 48,273,170.02 40,983,893.80 1,904.73 7,291,180.95
2024-06-29 66,801,300.60 48,273,170.02 13,797.00 18,541,927.58
2024-03-30 82,170,728.79 66,801,300.60 96,955.78 15,466,383.97
2023-12-30 93,475,001.47 82,170,728.79 81,924.04 11,386,196.72
2023-09-29 159,369,238.52 93,475,001.47 177,985.10 66,072,222.15
2023-06-29 265,087,100.81 159,369,238.52 76,630.83 105,794,493.12
2023-03-30 307,083,138.54 265,087,100.81 10,271.53 42,006,309.26
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