首页 - 基金 - 富国价值驱动灵活配置混合A(005472) - 份额变动
富国价值驱动灵活配置混合A(005472)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 31,857,176.19 28,019,412.39 295,568.11 4,133,331.91
2024-12-30 32,139,841.75 31,857,176.19 1,386,708.26 1,669,373.82
2024-09-29 32,819,156.10 32,139,841.75 93,185.20 772,499.55
2024-06-29 29,790,010.15 32,819,156.10 3,544,516.70 515,370.75
2024-03-30 29,982,344.50 29,790,010.15 766,587.90 958,922.25
2023-12-30 30,506,147.29 29,982,344.50 138,668.21 662,471.00
2023-09-29 30,034,920.12 30,506,147.29 1,060,133.05 588,905.88
2023-06-29 29,041,123.56 30,034,920.12 1,473,618.38 479,821.82
2023-03-30 39,574,899.78 29,041,123.56 963,141.71 11,496,917.93
2022-12-30 44,952,227.47 39,574,899.78 450,219.03 5,827,546.72
2022-09-29 40,615,971.34 44,952,227.47 6,494,357.72 2,158,101.59
2022-06-29 42,952,657.69 40,615,971.34 2,941,999.65 5,278,686.00
2022-03-30 52,968,863.26 42,952,657.69 1,225,357.62 11,241,563.19
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