首页 - 基金 - 恒越品质生活混合发起式(013028) - 份额变动
恒越品质生活混合发起式(013028)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)
2024-06-29 218,628,780.71 197,813,397.75 6,114,912.02 26,930,294.98
2024-03-30 257,607,830.68 218,628,780.71 24,133,971.88 63,113,021.85
2023-12-30 271,022,299.09 257,607,830.68 6,541,599.57 19,956,067.98
2023-09-29 255,110,623.60 271,022,299.09 34,839,016.58 18,927,341.09
2023-06-29 279,618,565.80 255,110,623.60 23,205,719.59 47,713,661.79
2023-03-30 277,962,816.33 279,618,565.80 29,097,433.58 27,441,684.11
2022-12-30 277,888,475.53 277,962,816.33 14,877,313.78 14,802,972.98
2022-09-29 292,221,158.52 277,888,475.53 11,945,586.84 26,278,269.83
2022-06-29 332,976,302.95 292,221,158.52 9,762,926.52 50,518,070.95
2022-03-30 351,058,644.74 332,976,302.95 23,879,634.64 41,961,976.43
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