首页 - 基金 - 华宝服务优选混合(000124) - 份额变动
华宝服务优选混合(000124)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)
2025-03-30 161,495,122.90 156,223,791.75 1,916,395.02 7,187,726.17
2024-12-30 165,423,123.83 161,495,122.90 6,281,286.56 10,209,287.49
2024-09-29 166,757,475.27 165,423,123.83 1,395,042.95 2,729,394.39
2024-06-29 169,601,455.32 166,757,475.27 1,754,146.90 4,598,126.95
2024-03-30 172,017,551.86 169,601,455.32 2,055,364.67 4,471,461.21
2023-12-30 173,605,161.53 172,017,551.86 1,679,664.11 3,267,273.78
2023-09-29 177,759,581.94 173,605,161.53 2,595,122.78 6,749,543.19
2023-06-29 178,441,973.41 177,759,581.94 4,484,017.22 5,166,408.69
2023-03-30 180,665,145.69 178,441,973.41 2,538,590.08 4,761,762.36
2022-12-30 181,153,644.26 180,665,145.69 2,408,446.04 2,896,944.61
2022-09-29 184,561,152.79 181,153,644.26 3,387,583.48 6,795,092.01
2022-06-29 185,135,624.00 184,561,152.79 4,590,389.00 5,164,860.21
2022-03-30 188,480,132.39 185,135,624.00 6,255,174.67 9,599,683.06
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