首页 - 基金 - 广发聚安混合A(001115) - 份额变动
广发聚安混合A(001115)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)
2024-12-30 42,482,875.40 34,372,102.35 641,491.28 8,752,264.33
2024-09-29 47,552,702.88 42,482,875.40 558,597.01 5,628,424.49
2024-06-29 54,054,804.89 47,552,702.88 148,237.82 6,650,339.83
2024-03-30 60,500,255.43 54,054,804.89 193,051.48 6,638,502.02
2023-12-30 65,388,343.21 60,500,255.43 67,404.23 4,955,492.01
2023-09-29 69,440,698.83 65,388,343.21 129,253.05 4,181,608.67
2023-06-29 78,500,496.60 69,440,698.83 158,309.02 9,218,106.79
2023-03-30 89,536,116.75 78,500,496.60 623,252.65 11,658,872.80
2022-12-30 149,538,930.83 89,536,116.75 186,762.36 60,189,576.44
2022-09-29 188,117,064.65 149,538,930.83 588,377.44 39,166,511.26
2022-06-29 261,924,767.27 188,117,064.65 499,887.76 74,307,590.38
2022-03-30 319,492,524.18 261,924,767.27 2,794,946.68 60,362,703.59
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