首页 - 基金 - 华安均衡优选混合C(012074) - 份额变动
华安均衡优选混合C(012074)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 29,002,066.78 20,538,992.39 364,667.05 8,827,741.44
2024-09-29 29,611,333.98 29,002,066.78 42,096.58 651,363.78
2024-06-29 29,833,504.79 29,611,333.98 200,377.52 422,548.33
2024-03-30 30,787,746.50 29,833,504.79 87,891.53 1,042,133.24
2023-12-30 33,980,940.81 30,787,746.50 990,172.89 4,183,367.20
2023-09-29 27,921,638.97 33,980,940.81 7,460,286.42 1,400,984.58
2023-06-29 28,792,006.68 27,921,638.97 1,558,205.68 2,428,573.39
2023-03-30 28,977,040.61 28,792,006.68 1,565,928.04 1,750,961.97
2022-12-30 28,991,443.99 28,977,040.61 687,919.39 702,322.77
2022-09-29 29,692,782.00 28,991,443.99 1,076,837.00 1,778,175.01
2022-06-29 31,323,364.56 29,692,782.00 536,459.19 2,167,041.75
2022-03-30 36,456,221.14 31,323,364.56 573,100.31 5,705,956.89
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