首页 - 基金 - 国泰聚利价值定开混合(005746) - 份额变动
国泰聚利价值定开混合(005746)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)
2025-03-30 460,933,350.84 218,218,241.91 147,562.88 242,862,671.81
2024-12-30 460,933,350.84 460,933,350.84 - -
2024-09-29 617,743,277.75 460,933,350.84 109,753.91 156,919,680.82
2024-06-29 617,743,277.75 617,743,277.75 - -
2024-03-30 793,447,849.54 617,743,277.75 7,656,943.54 183,361,515.33
2023-12-30 793,447,849.54 793,447,849.54 - -
2023-09-29 1,044,453,349.97 793,447,849.54 55,444,905.63 306,450,406.06
2023-06-29 1,044,453,349.97 1,044,453,349.97 - -
2023-03-30 1,239,984,929.10 1,044,453,349.97 2,224,173.29 197,755,752.42
2022-12-30 1,239,984,929.10 1,239,984,929.10 - -
2022-09-29 447,399,013.47 1,239,984,929.10 918,020,610.33 125,434,694.70
2022-06-29 447,399,013.47 447,399,013.47 - -
2022-03-30 754,673,967.90 447,399,013.47 15,632,738.93 322,907,693.36
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