首页 - 基金 - 东吴新趋势价值线混合(001322) - 份额变动
东吴新趋势价值线混合(001322)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)
2024-12-30 310,060,947.51 306,334,520.92 99,734,632.90 103,461,059.49
2024-09-29 295,002,597.17 310,060,947.51 70,336,436.37 55,278,086.03
2024-06-29 296,215,865.53 295,002,597.17 67,262,325.32 68,475,593.68
2024-03-30 271,622,304.18 296,215,865.53 100,654,434.73 76,060,873.38
2023-12-30 259,019,509.19 271,622,304.18 44,857,091.14 32,254,296.15
2023-09-29 260,508,044.99 259,019,509.19 102,443,586.99 103,932,122.79
2023-06-29 237,317,328.19 260,508,044.99 134,268,117.24 111,077,400.44
2023-03-30 172,589,930.07 237,317,328.19 78,324,912.90 13,597,514.78
2022-12-30 168,001,401.89 172,589,930.07 8,179,352.15 3,590,823.97
2022-09-29 159,762,350.24 168,001,401.89 15,486,297.38 7,247,245.73
2022-06-29 173,581,797.42 159,762,350.24 6,918,219.73 20,737,666.91
2022-03-30 162,655,956.76 173,581,797.42 21,244,543.88 10,318,703.22
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