首页 - 基金 - 嘉实增长混合(070002) - 份额变动
嘉实增长混合(070002)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)
2023-12-30 159,695,540.65 158,693,101.13 2,744,551.62 3,746,991.14
2023-09-29 160,115,654.73 159,695,540.65 3,086,208.70 3,506,322.78
2023-06-29 160,711,712.86 160,115,654.73 3,330,051.54 3,926,109.67
2023-03-30 161,036,004.44 160,711,712.86 3,350,025.19 3,674,316.77
2022-12-30 160,253,023.79 161,036,004.44 3,440,792.30 2,657,811.65
2022-09-29 160,614,784.59 160,253,023.79 3,728,115.29 4,089,876.09
2022-06-29 159,359,443.77 160,614,784.59 4,511,782.49 3,256,441.67
2022-03-30 159,388,071.69 159,359,443.77 4,844,985.28 4,873,613.20
2021-12-30 160,293,305.53 159,388,071.69 5,191,282.33 6,096,516.17
2021-09-29 161,215,891.06 160,293,305.53 6,871,445.46 7,794,030.99
2021-06-29 160,369,992.67 161,215,891.06 7,157,339.40 6,311,441.01
2021-03-30 167,248,010.72 160,369,992.67 7,203,679.12 14,081,697.17
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