首页 - 基金 - 中泰兴诚价值一年持有混合C(010729) - 份额变动
中泰兴诚价值一年持有混合C(010729)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 68,839,560.59 58,835,069.55 1,067,305.51 11,071,796.55
2024-09-29 70,809,348.19 68,839,560.59 745,801.96 2,715,589.56
2024-06-29 74,841,719.03 70,809,348.19 1,063,126.43 5,095,497.27
2024-03-30 78,207,987.71 74,841,719.03 1,068,823.16 4,435,091.84
2023-12-30 82,625,360.99 78,207,987.71 1,307,665.06 5,725,038.34
2023-09-29 84,855,772.44 82,625,360.99 4,235,036.47 6,465,447.92
2023-06-29 87,149,828.03 84,855,772.44 6,229,233.97 8,523,289.56
2023-03-30 99,910,120.79 87,149,828.03 3,757,633.01 16,517,925.77
2022-12-30 109,716,500.66 99,910,120.79 3,709,389.22 13,515,769.09
2022-09-29 117,875,565.73 109,716,500.66 5,304,477.33 13,463,542.40
2022-06-29 143,915,246.62 117,875,565.73 8,582,319.00 34,621,999.89
2022-03-30 202,903,691.04 143,915,246.62 12,609,448.74 71,597,893.16
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