首页 - 基金 - 华泰保兴策略精选C(005170) - 份额变动
华泰保兴策略精选C(005170)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 35,527,041.00 36,202,770.25 3,110,695.38 2,434,966.13
2024-09-29 35,393,321.49 35,527,041.00 316,882.00 183,162.49
2024-06-29 45,411,354.77 35,393,321.49 1,777,900.55 11,795,933.83
2024-03-30 45,391,850.70 45,411,354.77 381,421.10 361,917.03
2023-12-30 34,478,279.32 45,391,850.70 11,293,830.13 380,258.75
2023-09-29 35,025,164.51 34,478,279.32 3,203,551.73 3,750,436.92
2023-06-29 34,403,711.49 35,025,164.51 1,539,710.29 918,257.27
2023-03-30 34,160,197.05 34,403,711.49 796,840.99 553,326.55
2022-12-30 34,629,218.46 34,160,197.05 12,356,720.38 12,825,741.79
2022-09-29 34,530,213.69 34,629,218.46 153,035.21 54,030.44
2022-06-29 21,699,326.23 34,530,213.69 14,399,373.41 1,568,485.95
2022-03-30 21,642,820.95 21,699,326.23 76,819.30 20,314.02
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