首页 - 基金 - 华宝新价值混合(001324) - 份额变动
华宝新价值混合(001324)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 48,737,726.56 145,706,588.23 102,265,738.87 5,296,877.20
2024-12-30 69,180,985.07 48,737,726.56 1,180,105.28 21,623,363.79
2024-09-29 80,048,495.27 69,180,985.07 2,545,233.39 13,412,743.59
2024-06-29 99,273,559.61 80,048,495.27 577,308.61 19,802,372.95
2024-03-30 119,661,316.90 99,273,559.61 - 20,387,757.29
2023-12-30 148,134,958.26 119,661,316.90 317,433.99 28,791,075.35
2023-09-29 161,748,666.12 148,134,958.26 7,952,223.15 21,565,931.01
2023-06-29 190,183,247.98 161,748,666.12 3,219,815.53 31,654,397.39
2023-03-30 363,417,988.64 190,183,247.98 9,933,272.64 183,168,013.30
2022-12-30 522,594,919.33 363,417,988.64 19,308,548.02 178,485,478.71
2022-09-29 471,468,940.00 522,594,919.33 122,206,670.04 71,080,690.71
2022-06-29 558,424,905.90 471,468,940.00 23,581,230.06 110,537,195.96
2022-03-30 649,442,914.07 558,424,905.90 36,208,032.61 127,226,040.78
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