首页 - 基金 - 中泰开阳价值优选混合C(011437) - 份额变动
中泰开阳价值优选混合C(011437)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 99,827,607.52 111,857,629.88 29,628,791.55 17,598,769.19
2024-09-29 95,044,644.76 99,827,607.52 19,514,185.54 14,731,222.78
2024-06-29 115,391,180.07 95,044,644.76 12,466,550.88 32,813,086.19
2024-03-30 140,679,288.86 115,391,180.07 27,185,756.56 52,473,865.35
2023-12-30 184,376,871.14 140,679,288.86 29,690,871.38 73,388,453.66
2023-09-29 196,814,152.34 184,376,871.14 54,607,861.46 67,045,142.66
2023-06-29 190,611,954.88 196,814,152.34 104,006,030.48 97,803,833.02
2023-03-30 123,463,625.48 190,611,954.88 92,353,247.21 25,204,917.81
2022-12-30 129,109,382.92 123,463,625.48 39,042,100.19 44,687,857.63
2022-09-29 185,054,304.14 129,109,382.92 59,862,168.29 115,807,089.51
2022-06-29 245,711,469.93 185,054,304.14 83,932,023.64 144,589,189.43
2022-03-30 169,775,047.08 245,711,469.93 138,551,134.10 62,614,711.25
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