首页 - 基金 - 广发沪港深价值成长混合C(011638) - 份额变动
广发沪港深价值成长混合C(011638)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)
2024-12-30 854,420,861.16 540,306,656.27 45,702,607.15 359,816,812.04
2024-09-29 525,646,654.23 854,420,861.16 347,285,445.61 18,511,238.68
2024-06-29 537,490,596.80 525,646,654.23 28,251,418.26 40,095,360.83
2024-03-30 506,830,781.63 537,490,596.80 134,906,812.14 104,246,996.97
2023-12-30 1,275,962,576.78 506,830,781.63 51,076,104.34 820,207,899.49
2023-09-29 1,332,157,660.65 1,275,962,576.78 22,694,036.71 78,889,120.58
2023-06-29 41,629,418.99 1,332,157,660.65 1,402,098,524.01 111,570,282.35
2023-03-30 42,500,588.96 41,629,418.99 1,220,224.02 2,091,393.99
2022-12-30 43,909,459.75 42,500,588.96 1,451,570.81 2,860,441.60
2022-09-29 46,818,203.21 43,909,459.75 2,955,413.22 5,864,156.68
2022-06-29 47,863,107.59 46,818,203.21 4,402,876.70 5,447,781.08
2022-03-30 48,551,933.02 47,863,107.59 6,089,519.37 6,778,344.80
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