首页 - 基金 - 浦银均衡优选6个月持有混合C(011718) - 份额变动
浦银均衡优选6个月持有混合C(011718)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 16,127,727.71 15,294,835.13 381,217.51 1,214,110.09
2024-09-29 16,954,484.56 16,127,727.71 129,953.15 956,710.00
2024-06-29 17,596,252.09 16,954,484.56 143,678.36 785,445.89
2024-03-30 18,644,879.33 17,596,252.09 534,313.15 1,582,940.39
2023-12-30 20,139,608.56 18,644,879.33 692,617.46 2,187,346.69
2023-09-29 21,268,271.41 20,139,608.56 670,085.50 1,798,748.35
2023-06-29 21,104,890.44 21,268,271.41 1,771,398.20 1,608,017.23
2023-03-30 21,800,508.43 21,104,890.44 1,175,354.19 1,870,972.18
2022-12-30 23,722,271.14 21,800,508.43 1,044,838.42 2,966,601.13
2022-09-29 25,827,024.57 23,722,271.14 1,361,549.19 3,466,302.62
2022-06-29 29,539,225.68 25,827,024.57 2,190,155.15 5,902,356.26
2022-03-30 35,233,561.63 29,539,225.68 2,826,503.00 8,520,838.95
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