首页 - 基金 - 银华鑫锐灵活配置混合(LOF)C(014349) - 份额变动
银华鑫锐灵活配置混合(LOF)C(014349)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 5,804,294.81 3,634,325.01 249,236.37 2,419,206.17
2025-06-29 14,841,193.27 5,804,294.81 655,819.03 9,692,717.49
2025-03-30 32,489,879.28 14,841,193.27 2,732,263.91 20,380,949.92
2024-12-30 47,853,217.46 32,489,879.28 20,836,104.53 36,199,442.71
2024-09-29 74,377,004.44 47,853,217.46 3,317,342.69 29,841,129.67
2024-06-29 128,552,042.08 74,377,004.44 4,911,104.80 59,086,142.44
2024-03-30 212,198,748.98 128,552,042.08 27,236,918.79 110,883,625.69
2023-12-30 267,143,265.20 212,198,748.98 36,237,563.68 91,182,079.90
2023-09-29 280,556,222.46 267,143,265.20 51,358,445.78 64,771,403.04
2023-06-29 360,598,657.65 280,556,222.46 62,371,140.36 142,413,575.55
2023-03-30 170,216,976.68 360,598,657.65 291,195,126.68 100,813,445.71
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