首页 - 基金 - 广发瑞誉一年持有期混合A(014591) - 份额变动
广发瑞誉一年持有期混合A(014591)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 1,791,723,643.77 1,371,664,498.31 19,289,738.73 439,348,884.19
2024-09-29 1,896,215,470.32 1,791,723,643.77 3,194,688.40 107,686,514.95
2024-06-29 1,957,414,288.84 1,896,215,470.32 1,687,278.69 62,886,097.21
2024-03-30 2,021,983,030.06 1,957,414,288.84 5,512,268.83 70,081,010.05
2023-12-30 2,087,449,796.35 2,021,983,030.06 3,410,507.64 68,877,273.93
2023-09-29 2,337,778,299.70 2,087,449,796.35 10,747,721.62 261,076,224.97
2023-06-29 2,605,786,223.23 2,337,778,299.70 9,017,766.04 277,025,689.57
2023-03-30 3,741,621,576.78 2,605,786,223.23 26,859,260.43 1,162,694,613.98
2022-12-30 3,734,422,398.98 3,741,621,576.78 7,199,177.80 -
2022-09-29 3,714,310,073.11 3,734,422,398.98 20,112,325.87 -
2022-06-29 3,701,834,199.99 3,714,310,073.11 12,475,873.12 -
2022-03-30 3,696,309,844.81 3,701,834,199.99 5,524,355.18 -
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