首页 - 基金 - 长城优选回报六个月持有混合A(010797) - 份额变动
长城优选回报六个月持有混合A(010797)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 99,262,659.63 89,072,551.53 143,686.52 10,333,794.62
2024-09-29 124,895,948.40 99,262,659.63 83,943.34 25,717,232.11
2024-06-29 138,754,676.43 124,895,948.40 192,959.06 14,051,687.09
2024-03-30 157,484,648.72 138,754,676.43 185,281.10 18,915,253.39
2023-12-30 169,307,654.20 157,484,648.72 218,886.33 12,041,891.81
2023-09-29 185,395,473.80 169,307,654.20 319,265.22 16,407,084.82
2023-06-29 207,160,714.50 185,395,473.80 284,064.31 22,049,305.01
2023-03-30 270,646,122.96 207,160,714.50 799,971.09 64,285,379.55
2022-12-30 291,440,744.57 270,646,122.96 368,812.50 21,163,434.11
2022-09-29 347,625,826.43 291,440,744.57 816,589.79 57,001,671.65
2022-06-29 391,963,793.71 347,625,826.43 223,581.77 44,561,549.05
2022-03-30 510,521,846.13 391,963,793.71 505,702.59 119,063,755.01
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