首页 - 基金 - 平安估值精选混合A(007893) - 份额变动
平安估值精选混合A(007893)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 39,939,517.33 39,160,002.96 2,231,600.26 3,011,114.63
2024-09-29 47,987,444.98 39,939,517.33 12,131,064.28 20,178,991.93
2024-06-29 47,811,409.91 47,987,444.98 1,144,850.54 968,815.47
2024-03-30 49,318,120.33 47,811,409.91 540,177.73 2,046,888.15
2023-12-30 31,989,896.55 49,318,120.33 18,656,733.66 1,328,509.88
2023-09-29 27,266,311.14 31,989,896.55 5,456,590.92 733,005.51
2023-06-29 27,816,622.40 27,266,311.14 462,187.01 1,012,498.27
2023-03-30 27,785,370.16 27,816,622.40 622,608.25 591,356.01
2022-12-30 27,877,637.50 27,785,370.16 544,167.39 636,434.73
2022-09-29 28,992,561.07 27,877,637.50 863,076.93 1,978,000.50
2022-06-29 31,264,646.15 28,992,561.07 761,700.38 3,033,785.46
2022-03-30 63,801,370.25 31,264,646.15 2,540,675.08 35,077,399.18
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