首页 - 基金 - 南方价值臻选混合C(012427) - 份额变动
南方价值臻选混合C(012427)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 41,705,548.64 18,351,466.22 645,163.28 23,999,245.70
2024-09-29 34,959,549.40 41,705,548.64 17,556,589.16 10,810,589.92
2024-06-29 19,158,265.55 34,959,549.40 24,519,723.11 8,718,439.26
2024-03-30 20,069,502.57 19,158,265.55 1,238,093.17 2,149,330.19
2023-12-30 20,521,104.80 20,069,502.57 1,737,193.96 2,188,796.19
2023-09-29 21,329,317.23 20,521,104.80 8,855,995.69 9,664,208.12
2023-06-29 21,687,290.64 21,329,317.23 1,574,449.76 1,932,423.17
2023-03-30 21,716,817.50 21,687,290.64 1,818,547.82 1,848,074.68
2022-12-30 21,419,920.83 21,716,817.50 908,275.73 611,379.06
2022-09-29 22,427,824.62 21,419,920.83 552,982.27 1,560,886.06
2022-06-29 23,920,805.99 22,427,824.62 468,298.69 1,961,280.06
2022-03-30 26,668,408.15 23,920,805.99 947,655.24 3,695,257.40
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