首页 - 基金 - 华宝核心优势混合A(002152) - 份额变动
华宝核心优势混合A(002152)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 32,048,318.19 30,209,901.60 994,874.09 2,833,290.68
2024-12-30 23,633,810.00 32,048,318.19 15,429,834.05 7,015,325.86
2024-09-29 23,642,816.49 23,633,810.00 601,250.29 610,256.78
2024-06-29 24,090,489.40 23,642,816.49 688,257.81 1,135,930.72
2024-03-30 24,219,394.03 24,090,489.40 363,252.23 492,156.86
2023-12-30 23,987,127.51 24,219,394.03 857,122.01 624,855.49
2023-09-29 23,997,356.38 23,987,127.51 665,595.46 675,824.33
2023-06-29 23,500,070.52 23,997,356.38 1,683,880.16 1,186,594.30
2023-03-30 23,686,835.50 23,500,070.52 729,599.13 916,364.11
2022-12-30 26,232,609.77 23,686,835.50 1,738,635.60 4,284,409.87
2022-09-29 24,096,148.58 26,232,609.77 2,771,430.52 634,969.33
2022-06-29 24,429,931.63 24,096,148.58 3,537,009.49 3,870,792.54
2022-03-30 21,630,091.12 24,429,931.63 3,887,569.59 1,087,729.08
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