首页 - 基金 - 汇添富均衡精选六个月持有混合A(011681) - 份额变动
汇添富均衡精选六个月持有混合A(011681)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)
2024-12-30 141,670,105.86 134,903,712.04 842,094.23 7,608,488.05
2024-09-29 147,900,230.71 141,670,105.86 206,800.04 6,436,924.89
2024-06-29 151,880,254.47 147,900,230.71 588,933.92 4,568,957.68
2024-03-30 158,029,066.09 151,880,254.47 328,781.82 6,477,593.44
2023-12-30 163,047,374.44 158,029,066.09 205,145.84 5,223,454.19
2023-09-29 168,345,916.38 163,047,374.44 97,475.86 5,396,017.80
2023-06-29 171,814,042.91 168,345,916.38 218,595.95 3,686,722.48
2023-03-30 176,003,602.04 171,814,042.91 360,470.95 4,550,030.08
2022-12-30 179,200,419.47 176,003,602.04 836,797.63 4,033,615.06
2022-09-29 186,337,650.65 179,200,419.47 810,133.33 7,947,364.51
2022-06-29 190,797,625.05 186,337,650.65 2,608,188.87 7,068,163.27
2022-03-30 193,771,121.66 190,797,625.05 699,958.24 3,673,454.85
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