首页 - 基金 - 泓德优质治理灵活配置混合(011530) - 份额变动
泓德优质治理灵活配置混合(011530)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)
2024-12-30 789,674,686.11 773,430,585.48 3,666,757.84 19,910,858.47
2024-09-29 794,753,082.14 789,674,686.11 25,290,711.45 30,369,107.48
2024-06-29 792,261,069.41 794,753,082.14 18,194,088.09 15,702,075.36
2024-03-30 805,954,003.19 792,261,069.41 1,323,061.99 15,015,995.77
2023-12-30 828,533,131.10 805,954,003.19 493,192.23 23,072,320.14
2023-09-29 852,833,039.23 828,533,131.10 1,462,607.63 25,762,515.76
2023-06-29 878,837,341.36 852,833,039.23 1,172,452.64 27,176,754.77
2023-03-30 898,236,006.78 878,837,341.36 1,617,140.00 21,015,805.42
2022-12-30 915,070,621.36 898,236,006.78 815,223.53 17,649,838.11
2022-09-29 931,614,427.51 915,070,621.36 1,754,013.60 18,297,819.75
2022-06-29 948,343,203.97 931,614,427.51 1,874,322.87 18,603,099.33
2022-03-30 971,381,835.84 948,343,203.97 5,236,803.69 28,275,435.56
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