首页 - 基金 - 光大保德信均衡精选混合A(360010) - 份额变动
光大保德信均衡精选混合A(360010)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 52,224,259.92 51,290,691.34 909,864.44 1,843,433.02
2023-09-29 52,527,068.50 52,224,259.92 1,365,495.61 1,668,304.19
2023-06-29 52,237,244.04 52,527,068.50 1,984,210.07 1,694,385.61
2023-03-30 40,014,166.30 52,237,244.04 14,766,977.67 2,543,899.93
2022-12-30 38,464,392.10 40,014,166.30 3,736,402.25 2,186,628.05
2022-09-29 36,814,511.66 38,464,392.10 4,853,557.67 3,203,677.23
2022-06-29 37,922,387.25 36,814,511.66 4,180,920.61 5,288,796.20
2022-03-30 33,035,810.45 37,922,387.25 14,455,654.63 9,569,077.83
2021-12-30 31,372,886.31 33,035,810.45 4,596,288.11 2,933,363.97
2021-09-29 42,062,714.48 31,372,886.31 3,383,392.24 14,073,220.41
2021-06-29 42,213,783.45 42,062,714.48 3,116,217.74 3,267,286.71
2021-03-30 47,324,982.96 42,213,783.45 1,693,155.78 6,804,355.29
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