首页 - 基金 - 长城中国智造灵活配置混合A(001880) - 份额变动
长城中国智造灵活配置混合A(001880)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)
2024-12-30 104,641,224.67 100,510,504.65 13,589,794.25 17,720,514.27
2024-09-29 92,792,671.55 104,641,224.67 16,344,703.02 4,496,149.90
2024-06-29 93,683,871.76 92,792,671.55 2,551,087.56 3,442,287.77
2024-03-30 93,890,408.18 93,683,871.76 6,641,638.16 6,848,174.58
2023-12-30 77,783,145.63 93,890,408.18 20,851,107.20 4,743,844.65
2023-09-29 70,406,166.55 77,783,145.63 12,332,073.67 4,955,094.59
2023-06-29 72,372,970.26 70,406,166.55 8,802,981.88 10,769,785.59
2023-03-30 62,089,892.97 72,372,970.26 15,832,879.47 5,549,802.18
2022-12-30 58,204,956.75 62,089,892.97 14,672,658.67 10,787,722.45
2022-09-29 44,216,533.99 58,204,956.75 41,162,360.89 27,173,938.13
2022-06-29 26,121,622.83 44,216,533.99 27,887,893.79 9,792,982.63
2022-03-30 23,862,596.66 26,121,622.83 5,145,636.06 2,886,609.89
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