首页 - 基金 - 广发聚优灵活配置混合A(000167) - 份额变动
广发聚优灵活配置混合A(000167)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)
2024-12-30 119,781,062.97 141,631,429.99 27,074,919.08 5,224,552.06
2024-09-29 120,287,297.78 119,781,062.97 2,575,028.94 3,081,263.75
2024-06-29 122,092,528.83 120,287,297.78 1,396,448.48 3,201,679.53
2024-03-30 122,928,444.69 122,092,528.83 2,340,704.08 3,176,619.94
2023-12-30 124,685,828.78 122,928,444.69 1,548,634.12 3,306,018.21
2023-09-29 127,032,845.71 124,685,828.78 1,640,452.38 3,987,469.31
2023-06-29 128,421,589.84 127,032,845.71 2,628,524.34 4,017,268.47
2023-03-30 129,390,525.10 128,421,589.84 3,663,615.45 4,632,550.71
2022-12-30 148,469,579.81 129,390,525.10 6,597,531.44 25,676,586.15
2022-09-29 144,718,651.55 148,469,579.81 8,046,096.11 4,295,167.85
2022-06-29 146,924,162.87 144,718,651.55 4,947,753.21 7,153,264.53
2022-03-30 148,277,447.83 146,924,162.87 7,048,740.88 8,402,025.84
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