首页 - 基金 - 国泰聚优价值灵活配置混合A(005244) - 份额变动
国泰聚优价值灵活配置混合A(005244)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)
2025-03-30 193,580,306.98 188,946,087.49 1,445,697.19 6,079,916.68
2024-12-30 246,659,814.15 193,580,306.98 4,447,232.71 57,526,739.88
2024-09-29 251,370,948.81 246,659,814.15 1,404,007.61 6,115,142.27
2024-06-29 252,899,607.79 251,370,948.81 2,437,841.13 3,966,500.11
2024-03-30 258,514,313.85 252,899,607.79 2,008,718.76 7,623,424.82
2023-12-30 263,608,647.53 258,514,313.85 1,342,937.40 6,437,271.08
2023-09-29 268,943,709.57 263,608,647.53 1,628,601.77 6,963,663.81
2023-06-29 275,232,472.86 268,943,709.57 2,402,185.06 8,690,948.35
2023-03-30 278,335,747.57 275,232,472.86 2,184,932.60 5,288,207.31
2022-12-30 288,321,632.08 278,335,747.57 2,253,171.09 12,239,055.60
2022-09-29 299,127,227.35 288,321,632.08 3,373,118.41 14,178,713.68
2022-06-29 300,914,397.67 299,127,227.35 8,842,413.09 10,629,583.41
2022-03-30 301,117,066.27 300,914,397.67 9,085,069.05 9,287,737.65
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