首页 - 基金 - 嘉实价值驱动一年持有期混合C(012534) - 份额变动
嘉实价值驱动一年持有期混合C(012534)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)
2025-03-30 203,256,940.28 193,864,603.52 1,116,334.37 10,508,671.13
2024-12-30 223,030,663.65 203,256,940.28 752,477.29 20,526,200.66
2024-09-29 230,732,391.46 223,030,663.65 205,100.27 7,906,828.08
2024-06-29 240,518,703.99 230,732,391.46 1,185,877.67 10,972,190.20
2024-03-30 250,482,934.88 240,518,703.99 324,265.02 10,288,495.91
2023-12-30 265,356,194.51 250,482,934.88 231,163.73 15,104,423.36
2023-09-29 281,537,809.66 265,356,194.51 420,130.01 16,601,745.16
2023-06-29 293,169,522.98 281,537,809.66 585,957.65 12,217,670.97
2023-03-30 308,334,698.95 293,169,522.98 2,374,558.70 17,539,734.67
2022-12-30 326,829,928.29 308,334,698.95 648,287.10 19,143,516.44
2022-09-29 364,663,481.91 326,829,928.29 679,389.27 38,512,942.89
2022-06-29 363,345,797.35 364,663,481.91 1,317,684.56 -
2022-03-30 361,018,651.87 363,345,797.35 2,327,145.48 -
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