首页 - 基金 - 中欧成长优选混合A(166020) - 份额变动
中欧成长优选混合A(166020)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)
2023-12-30 323,307,475.93 1,798,843,912.31 1,508,226,705.48 32,690,269.10
2023-09-29 180,067,187.66 323,307,475.93 157,011,632.89 13,771,344.62
2023-06-29 153,352,225.00 180,067,187.66 46,199,276.84 19,484,314.18
2023-03-30 156,037,997.85 153,352,225.00 25,174,175.55 27,859,948.40
2022-12-30 144,071,846.06 156,037,997.85 25,079,035.34 13,112,883.55
2022-09-29 112,425,211.85 144,071,846.06 42,349,138.71 10,702,504.50
2022-06-29 133,374,773.97 112,425,211.85 11,313,692.51 32,263,254.63
2022-03-30 63,300,246.73 133,374,773.97 126,428,801.39 56,354,274.15
2021-12-30 68,645,966.26 63,300,246.73 7,083,987.21 12,429,706.74
2021-09-29 62,271,390.44 68,645,966.26 23,673,528.77 17,298,952.95
2021-06-29 68,577,087.58 62,271,390.44 24,717,179.76 31,022,876.90
2021-03-30 35,950,566.15 68,577,087.58 48,627,902.18 16,001,380.75
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