首页 - 基金 - 华宝稳健回报混合(000993) - 份额变动
华宝稳健回报混合(000993)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 80,884,702.76 79,085,134.01 609,599.68 2,409,168.43
2024-12-30 84,430,077.84 80,884,702.76 2,263,449.11 5,808,824.19
2024-09-29 86,899,370.15 84,430,077.84 321,665.09 2,790,957.40
2024-06-29 89,778,006.75 86,899,370.15 308,679.81 3,187,316.41
2024-03-30 119,302,329.51 89,778,006.75 760,545.94 30,284,868.70
2023-12-30 94,615,531.43 119,302,329.51 28,035,955.64 3,349,157.56
2023-09-29 96,200,213.23 94,615,531.43 938,783.00 2,523,464.80
2023-06-29 100,956,790.82 96,200,213.23 1,647,970.88 6,404,548.47
2023-03-30 101,422,353.49 100,956,790.82 1,420,305.00 1,885,867.67
2022-12-30 102,332,904.18 101,422,353.49 823,638.98 1,734,189.67
2022-09-29 104,366,420.96 102,332,904.18 1,201,350.40 3,234,867.18
2022-06-29 108,342,071.11 104,366,420.96 1,243,545.66 5,219,195.81
2022-03-30 112,703,318.23 108,342,071.11 1,688,240.33 6,049,487.45
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