首页 - 基金 - 广发优企精选混合C(010021) - 份额变动
广发优企精选混合C(010021)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 92,273,760.21 38,203,524.53 2,571,557.87 56,641,793.55
2024-09-29 161,340,085.45 92,273,760.21 13,305,721.62 82,372,046.86
2024-06-29 174,936,550.92 161,340,085.45 25,912,795.37 39,509,260.84
2024-03-30 171,645,555.97 174,936,550.92 39,467,812.86 36,176,817.91
2023-12-30 120,461,118.88 171,645,555.97 70,630,726.07 19,446,288.98
2023-09-29 25,977,381.66 120,461,118.88 109,998,351.96 15,514,614.74
2023-06-29 82,502,127.97 25,977,381.66 6,890,898.75 63,415,645.06
2023-03-30 3,841,646.47 82,502,127.97 79,307,466.77 646,985.27
2022-12-30 3,472,816.68 3,841,646.47 1,048,383.54 679,553.75
2022-09-29 6,747,525.85 3,472,816.68 324,891.74 3,599,600.91
2022-06-29 6,680,241.12 6,747,525.85 528,231.48 460,946.75
2022-03-30 3,810,544.73 6,680,241.12 35,413,578.30 32,543,881.91
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