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基金业绩

基金费率

投资组合

基金概况

财务数据

摩根中国世纪混合(QDII)现钞(003244)

2016-11-18     0.1450-1.3605%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2024-09-307,484.47-140.497,484.47
2024-06-307,624.96-293.697,624.96
2024-03-317,918.65-229.627,918.65
2023-12-318,148.27-256.958,148.27
2023-09-308,405.22-260.438,405.22
2023-06-308,665.65-115.108,665.65
2023-03-318,780.75-102.418,780.75
2022-12-318,883.16-82.258,883.16
2022-09-308,965.41-143.918,965.41
2022-06-309,109.32-71.009,109.32
2022-03-319,180.32-551.019,180.32
2021-12-319,731.3352.029,731.33
2021-09-309,679.31-791.149,679.31
2021-06-3010,470.45-152.5610,470.45
2021-03-3110,623.014,020.1310,623.01
2020-12-316,602.88697.296,602.88
2020-09-305,905.59-1,834.915,905.59
2020-06-307,740.50-7,668.967,740.50
2020-03-3115,409.46-10,736.9715,409.46
2019-12-3126,146.43-6,023.7526,146.43
2019-09-3032,170.18-4,341.0932,170.18
2019-06-3036,511.27-3,778.5736,511.27
2019-03-3140,289.84-6,645.4940,289.84
2018-12-3146,935.33-2,266.5246,935.33
2018-09-3049,201.851,345.3149,201.85
2018-06-3047,856.54-1,717.5147,856.54
2018-03-3149,574.0527,755.3849,574.05
2017-12-3121,818.674,660.7221,818.67
2017-09-3017,157.952,986.2317,157.95
2017-06-3014,171.72-3,484.8714,171.72
2017-03-3117,656.59-7,891.8317,656.59
2016-12-3125,548.4225,548.4225,548.42
2016-11-110.00----