首页 - 基金 - 嘉实均衡臻选一年持有混合A(013630) - 份额变动
嘉实均衡臻选一年持有混合A(013630)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)
2025-03-30 161,750,174.06 153,526,697.59 105,127.15 8,328,603.62
2024-12-30 172,741,022.25 161,750,174.06 281,357.26 11,272,205.45
2024-09-29 178,183,993.05 172,741,022.25 133,780.98 5,576,751.78
2024-06-29 184,095,476.94 178,183,993.05 956,810.06 6,868,293.95
2024-03-30 191,623,325.85 184,095,476.94 85,902.13 7,613,751.04
2023-12-30 209,183,551.43 191,623,325.85 224,117.21 17,784,342.79
2023-09-29 222,427,679.52 209,183,551.43 172,738.28 13,416,866.37
2023-06-29 240,194,405.55 222,427,679.52 1,822,867.07 19,589,593.10
2023-03-30 260,854,956.15 240,194,405.55 594,565.92 21,255,116.52
2022-12-30 290,733,499.63 260,854,956.15 324,465.94 30,203,009.42
2022-09-29 290,474,181.43 290,733,499.63 259,318.20 -
2022-06-29 290,171,878.35 290,474,181.43 302,303.08 -
2022-03-30 287,718,842.36 290,171,878.35 2,453,035.99 -
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