首页 - 基金 - 广发鑫睿一年持有期混合A(012528) - 份额变动
广发鑫睿一年持有期混合A(012528)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)
2024-12-30 224,985,598.20 213,858,783.69 2,629,885.38 13,756,699.89
2024-09-29 235,287,195.27 224,985,598.20 456,312.26 10,757,909.33
2024-06-29 245,114,812.70 235,287,195.27 369,332.62 10,196,950.05
2024-03-30 266,171,139.45 245,114,812.70 1,313,080.63 22,369,407.38
2023-12-30 277,655,108.67 266,171,139.45 4,502,051.46 15,986,020.68
2023-09-29 287,535,455.12 277,655,108.67 2,629,058.05 12,509,404.50
2023-06-29 302,411,230.70 287,535,455.12 8,337,218.18 23,212,993.76
2023-03-30 334,352,426.30 302,411,230.70 27,509,786.35 59,450,981.95
2022-12-30 708,690,241.76 334,352,426.30 24,656,834.35 398,994,649.81
2022-09-29 705,867,064.48 708,690,241.76 2,823,177.28 -
2022-06-29 703,046,463.76 705,867,064.48 2,820,600.72 -
2022-03-30 690,263,875.05 703,046,463.76 12,782,588.71 -
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