首页 - 基金 - 长城均衡优选混合A(010602) - 份额变动
长城均衡优选混合A(010602)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)
2024-12-30 323,538,164.92 302,011,440.27 1,241,793.11 22,768,517.76
2024-09-29 343,684,668.80 323,538,164.92 1,022,610.08 21,169,113.96
2024-06-29 361,626,148.23 343,684,668.80 282,753.37 18,224,232.80
2024-03-30 388,684,933.83 361,626,148.23 646,419.42 27,705,205.02
2023-12-30 409,700,479.52 388,684,933.83 359,571.44 21,375,117.13
2023-09-29 454,136,760.57 409,700,479.52 476,563.13 44,912,844.18
2023-06-29 505,382,574.28 454,136,760.57 624,517.55 51,870,331.26
2023-03-30 482,683,446.29 505,382,574.28 43,516,389.47 20,817,261.48
2022-12-30 489,405,774.39 482,683,446.29 693,947.28 7,416,275.38
2022-09-29 503,579,433.38 489,405,774.39 1,357,710.18 15,531,369.17
2022-06-29 520,010,395.31 503,579,433.38 2,037,278.32 18,468,240.25
2022-03-30 543,946,465.79 520,010,395.31 3,911,792.51 27,847,862.99
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