首页 - 基金 - 国投瑞银价值成长一年持有混合A(010423) - 份额变动
国投瑞银价值成长一年持有混合A(010423)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)
2025-03-30 328,340,456.77 316,646,455.82 212,440.00 11,906,440.95
2024-12-30 358,265,926.64 328,340,456.77 284,189.24 30,209,659.11
2024-09-29 372,006,085.21 358,265,926.64 74,535.00 13,814,693.57
2024-06-29 386,206,487.47 372,006,085.21 142,039.13 14,342,441.39
2024-03-30 400,330,852.40 386,206,487.47 211,838.41 14,336,203.34
2023-12-30 415,614,141.21 400,330,852.40 294,788.37 15,578,077.18
2023-09-29 439,679,433.85 415,614,141.21 193,455.06 24,258,747.70
2023-06-29 460,317,127.35 439,679,433.85 536,915.00 21,174,608.50
2023-03-30 468,599,854.50 460,317,127.35 461,290.11 8,744,017.26
2022-12-30 478,258,270.55 468,599,854.50 350,056.37 10,008,472.42
2022-09-29 514,331,406.49 478,258,270.55 909,505.16 36,982,641.10
2022-06-29 533,357,449.42 514,331,406.49 781,926.82 19,807,969.75
2022-03-30 603,530,750.11 533,357,449.42 928,823.96 71,102,124.65
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