首页 - 基金 - 广发聚鸿六个月持有期混合C(011139) - 份额变动
广发聚鸿六个月持有期混合C(011139)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 44,832,629.55 42,112,344.28 77,080.20 2,797,365.47
2024-09-29 46,105,584.41 44,832,629.55 147,758.17 1,420,713.03
2024-06-29 47,250,034.58 46,105,584.41 49,191.55 1,193,641.72
2024-03-30 49,056,629.08 47,250,034.58 102,719.53 1,909,314.03
2023-12-30 51,638,625.86 49,056,629.08 44,317.99 2,626,314.77
2023-09-29 55,142,931.11 51,638,625.86 71,350.29 3,575,655.54
2023-06-29 60,705,937.48 55,142,931.11 229,647.62 5,792,653.99
2023-03-30 64,125,605.32 60,705,937.48 506,928.54 3,926,596.38
2022-12-30 64,546,526.46 64,125,605.32 689,650.86 1,110,572.00
2022-09-29 69,593,998.50 64,546,526.46 605,861.61 5,653,333.65
2022-06-29 77,035,166.92 69,593,998.50 618,436.65 8,059,605.07
2022-03-30 83,880,371.59 77,035,166.92 611,263.47 7,456,468.14
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