首页 - 基金 - 广发资管价值增长灵活配置混合(871003) - 份额变动
广发资管价值增长灵活配置混合(871003)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)
2024-12-30 386,722,648.63 363,110,672.18 389,770.20 24,001,746.65
2024-09-29 393,303,790.47 386,722,648.63 145,577.83 6,726,719.67
2024-06-29 399,397,578.50 393,303,790.47 111,610.22 6,205,398.25
2024-03-30 406,868,067.55 399,397,578.50 423,812.03 7,894,301.08
2023-12-30 426,401,938.76 406,868,067.55 306,685.43 19,840,556.64
2023-09-29 448,512,955.02 426,401,938.76 796,846.35 22,907,862.61
2023-06-29 474,979,295.13 448,512,955.02 1,843,744.09 28,310,084.20
2023-03-30 509,985,287.30 474,979,295.13 1,894,818.91 36,900,811.08
2022-12-30 527,028,562.10 509,985,287.30 1,270,352.46 18,313,627.26
2022-09-29 550,714,476.63 527,028,562.10 1,948,367.95 25,634,282.48
2022-06-29 565,829,727.77 550,714,476.63 3,209,755.22 18,325,006.36
2022-03-30 590,343,324.07 565,829,727.77 3,771,465.18 28,285,061.48
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