首页 - 基金 - 华泰柏瑞精选回报混合(001524) - 份额变动
华泰柏瑞精选回报混合(001524)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)
2023-09-29 140,599,939.78 674,436.94 22,502.33 139,948,005.17
2023-06-29 261,039,707.81 140,599,939.78 16,282.79 120,456,050.82
2023-03-30 426,439,039.81 261,039,707.81 13,227,030.86 178,626,362.86
2022-12-30 467,461,296.03 426,439,039.81 58,744.33 41,081,000.55
2022-09-29 564,132,434.92 467,461,296.03 37,102.64 96,708,241.53
2022-06-29 627,682,828.88 564,132,434.92 30,494,887.61 94,045,281.57
2022-03-30 655,372,907.70 627,682,828.88 113,356,633.20 141,046,712.02
2021-12-30 603,024,219.55 655,372,907.70 119,659,044.62 67,310,356.47
2021-09-29 566,215,618.27 603,024,219.55 83,744,913.12 46,936,311.84
2021-06-29 479,647,630.36 566,215,618.27 169,194,551.26 82,626,563.35
2021-03-30 490,537,584.35 479,647,630.36 41,543,930.90 52,433,884.89
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