首页 - 基金 - 大成核心价值甄选混合C(010930) - 份额变动
大成核心价值甄选混合C(010930)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)
2025-09-29 165,164,722.82 133,109,732.78 9,835,746.28 41,890,736.32
2025-06-29 189,900,114.48 165,164,722.82 19,467,244.88 44,202,636.54
2025-03-30 299,917,424.94 189,900,114.48 28,203,706.14 138,221,016.60
2024-12-30 217,718,100.27 299,917,424.94 212,402,671.98 130,203,347.31
2024-09-29 235,873,043.64 217,718,100.27 141,755,386.29 159,910,329.66
2024-06-29 250,160,607.13 235,873,043.64 68,014,601.14 82,302,164.63
2024-03-30 66,424,022.08 250,160,607.13 197,018,024.98 13,281,439.93
2023-12-30 95,423,951.36 66,424,022.08 3,987,102.70 32,987,031.98
2023-09-29 86,378,101.06 95,423,951.36 18,019,886.48 8,974,036.18
2023-06-29 87,369,035.69 86,378,101.06 10,504,264.09 11,495,198.72
2023-03-30 81,712,344.98 87,369,035.69 26,660,742.73 21,004,052.02
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