首页 - 基金 - 广发价值核心混合C(010378) - 份额变动
广发价值核心混合C(010378)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)
2024-12-30 783,686,914.76 1,614,555,137.27 965,088,737.48 134,220,514.97
2024-09-29 800,522,800.35 783,686,914.76 4,564,064.59 21,399,950.18
2024-06-29 740,004,623.69 800,522,800.35 82,858,574.84 22,340,398.18
2024-03-30 756,498,108.45 740,004,623.69 13,288,237.86 29,781,722.62
2023-12-30 773,324,453.02 756,498,108.45 11,197,550.00 28,023,894.57
2023-09-29 788,293,610.02 773,324,453.02 12,726,638.11 27,695,795.11
2023-06-29 823,525,277.63 788,293,610.02 27,481,255.71 62,712,923.32
2023-03-30 827,859,576.16 823,525,277.63 29,219,919.55 33,554,218.08
2022-12-30 830,679,144.36 827,859,576.16 26,409,580.01 29,229,148.21
2022-09-29 841,141,387.75 830,679,144.36 28,079,779.29 38,542,022.68
2022-06-29 865,149,546.66 841,141,387.75 24,014,602.94 48,022,761.85
2022-03-30 895,654,610.94 865,149,546.66 40,145,247.92 70,650,312.20
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