首页 - 基金 - 湘财长顺混合发起式C(007013) - 份额变动
湘财长顺混合发起式C(007013)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 82,200,564.33 56,534,588.06 1,018,608.82 26,684,585.09
2024-09-29 89,390,166.19 82,200,564.33 1,328,977.14 8,518,579.00
2024-06-29 92,072,955.50 89,390,166.19 1,555,713.13 4,238,502.44
2024-03-30 119,990,255.05 92,072,955.50 1,261,301.62 29,178,601.17
2023-12-30 114,232,311.03 119,990,255.05 66,160,078.16 60,402,134.14
2023-09-29 122,204,820.33 114,232,311.03 2,974,661.26 10,947,170.56
2023-06-29 149,582,942.80 122,204,820.33 4,780,579.57 32,158,702.04
2023-03-30 161,736,641.05 149,582,942.80 1,523,309.76 13,677,008.01
2022-12-30 155,908,600.76 161,736,641.05 11,924,826.83 6,096,786.54
2022-09-29 199,271,367.56 155,908,600.76 5,345,619.02 48,708,385.82
2022-06-29 242,425,882.80 199,271,367.56 56,415,872.95 99,570,388.19
2022-03-30 139,521,498.60 242,425,882.80 116,385,045.58 13,480,661.38
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