首页 - 基金 - 国泰成长优选混合(020026) - 份额变动
国泰成长优选混合(020026)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)
2024-12-30 192,356,414.44 184,924,752.25 7,214,296.12 14,645,958.31
2024-09-29 193,876,834.79 192,356,414.44 4,894,711.54 6,415,131.89
2024-06-29 196,986,350.44 193,876,834.79 5,042,139.49 8,151,655.14
2024-03-30 201,266,864.04 196,986,350.44 9,257,496.30 13,538,009.90
2023-12-30 200,704,615.13 201,266,864.04 7,908,022.74 7,345,773.83
2023-09-29 200,439,098.57 200,704,615.13 7,383,539.22 7,118,022.66
2023-06-29 201,140,205.62 200,439,098.57 8,116,338.49 8,817,445.54
2023-03-30 201,380,100.59 201,140,205.62 10,335,030.91 10,574,925.88
2022-12-30 199,648,158.33 201,380,100.59 9,849,244.04 8,117,301.78
2022-09-29 201,409,457.59 199,648,158.33 8,899,182.17 10,660,481.43
2022-06-29 205,011,726.95 201,409,457.59 10,254,321.42 13,856,590.78
2022-03-30 209,095,996.96 205,011,726.95 12,154,636.02 16,238,906.03
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