首页 - 基金 - 建信优化配置混合C(015436) - 份额变动
建信优化配置混合C(015436)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)
2025-12-30 4,789,968.23 3,449,492.16 942,401.66 2,282,877.73
2025-09-29 4,744,075.15 4,789,968.23 2,537,100.95 2,491,207.87
2025-06-29 4,444,365.76 4,744,075.15 657,819.36 358,109.97
2025-03-30 59,975,473.98 4,444,365.76 242,120.50 55,773,228.72
2024-12-30 13,574,974.02 59,975,473.98 48,098,736.25 1,698,236.29
2024-09-29 14,136,328.88 13,574,974.02 167,153.85 728,508.71
2024-06-29 11,428,019.72 14,136,328.88 3,875,864.89 1,167,555.73
2024-03-30 9,047,169.70 11,428,019.72 3,146,873.49 766,023.47
2023-12-30 9,307,229.00 9,047,169.70 220,254.97 480,314.27
2023-09-29 10,119,799.34 9,307,229.00 558,330.70 1,370,901.04
2023-06-29 6,427,917.41 10,119,799.34 5,939,422.18 2,247,540.25
2023-03-30 7,362,395.76 6,427,917.41 1,739,443.74 2,673,922.09
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