首页 - 基金 - 平安价值成长混合C(010127) - 份额变动
平安价值成长混合C(010127)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)
2024-12-30 123,064,203.72 116,436,511.91 3,178,827.34 9,806,519.15
2024-09-29 128,713,807.47 123,064,203.72 1,629,424.95 7,279,028.70
2024-06-29 133,253,163.19 128,713,807.47 956,870.77 5,496,226.49
2024-03-30 137,913,180.62 133,253,163.19 2,461,681.06 7,121,698.49
2023-12-30 143,124,573.46 137,913,180.62 1,215,090.30 6,426,483.14
2023-09-29 145,000,649.28 143,124,573.46 4,300,396.08 6,176,471.90
2023-06-29 149,191,263.68 145,000,649.28 2,937,269.19 7,127,883.59
2023-03-30 155,845,895.60 149,191,263.68 2,965,372.65 9,620,004.57
2022-12-30 160,921,034.07 155,845,895.60 5,507,253.50 10,582,391.97
2022-09-29 167,929,768.61 160,921,034.07 7,099,851.57 14,108,586.11
2022-06-29 174,147,247.17 167,929,768.61 8,232,723.63 14,450,202.19
2022-03-30 173,719,807.52 174,147,247.17 21,264,287.74 20,836,848.09
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