首页 - 基金 - 广发睿盛混合C(012034) - 份额变动
广发睿盛混合C(012034)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 25,669,480.78 24,130,730.14 1,193,140.81 2,731,891.45
2024-09-29 26,877,361.62 25,669,480.78 198,371.33 1,406,252.17
2024-06-29 27,553,633.45 26,877,361.62 474,247.80 1,150,519.63
2024-03-30 29,947,307.53 27,553,633.45 1,207,184.82 3,600,858.90
2023-12-30 30,544,612.08 29,947,307.53 1,480,422.26 2,077,726.81
2023-09-29 31,476,755.72 30,544,612.08 1,336,197.03 2,268,340.67
2023-06-29 33,161,769.27 31,476,755.72 1,266,844.05 2,951,857.60
2023-03-30 33,794,183.60 33,161,769.27 1,644,783.98 2,277,198.31
2022-12-30 44,201,566.51 33,794,183.60 1,293,951.64 11,701,334.55
2022-09-29 36,482,349.61 44,201,566.51 138,985,243.09 131,266,026.19
2022-06-29 40,511,882.29 36,482,349.61 2,223,675.73 6,253,208.41
2022-03-30 46,322,163.95 40,511,882.29 2,592,974.95 8,403,256.61
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