基金经理:武志骁
| 七日年化收益率:0.00% | 每万份收益:0.000 | 年化标准差:0.00021 | 截止日期:2026/2/13 | ||
|---|---|---|---|---|---|
| 最新规模:1.55亿元 | 风险等级:低风险 | 申购状态:可申购 | 赎回状态:可赎回 |
中邮货币C(023093)申购赎回 |
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| 报告期 | 期初总份额(份) | 期末总份额(份) | 期间总申购份额(份) | 期间总赎回份额(份) | 期间净申赎份额(份) | 净申赎比例 |
| 2025/12/31 | 156,609,000 | 155,213,000 | 134,123,000 | 135,519,000 | -1,396,000 | -0.89% |
| 2025/9/30 | 112,065,000 | 156,609,000 | 144,244,000 | 99,699,100 | 44,544,900 | 39.75% |
| 2025/6/30 | 0 | 112,065,000 | 262,971,000 | 150,906,000 | 112,065,000 | INF% |
| 2025/6/30 | 55,458,700 | 112,065,000 | 207,300,000 | 150,694,000 | 56,606,000 | 102.07% |
| 2025/3/31 | 0 | 55,458,700 | 55,671,000 | 212,309 | 55,458,691 | INF% |