首页 - 基金 - 广发均衡价值混合A(007254) - 份额变动
广发均衡价值混合A(007254)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 32,011,526.90 30,809,781.99 1,259,956.30 2,461,701.21
2024-09-29 33,302,305.98 32,011,526.90 443,635.76 1,734,414.84
2024-06-29 36,011,624.07 33,302,305.98 433,241.28 3,142,559.37
2024-03-30 39,296,093.36 36,011,624.07 1,873,938.42 5,158,407.71
2023-12-30 40,062,971.60 39,296,093.36 1,680,347.38 2,447,225.62
2023-09-29 45,196,443.68 40,062,971.60 1,189,869.76 6,323,341.84
2023-06-29 69,426,387.23 45,196,443.68 6,969,058.92 31,199,002.47
2023-03-30 38,009,614.03 69,426,387.23 38,875,072.18 7,458,298.98
2022-12-30 36,545,187.73 38,009,614.03 4,568,151.98 3,103,725.68
2022-09-29 25,570,451.46 36,545,187.73 12,300,437.37 1,325,701.10
2022-06-29 26,268,994.25 25,570,451.46 605,250.30 1,303,793.09
2022-03-30 27,169,068.28 26,268,994.25 1,625,573.83 2,525,647.86
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