首页 - 基金 - 广发价值回报混合A(004852) - 份额变动
广发价值回报混合A(004852)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)
2023-12-30 607,155,607.30 430,470,245.85 1,911,169.08 178,596,530.53
2023-09-29 657,181,639.98 607,155,607.30 55,306,003.52 105,332,036.20
2023-06-29 616,989,899.52 657,181,639.98 129,336,342.73 89,144,602.27
2023-03-30 150,940,623.04 616,989,899.52 535,825,928.55 69,776,652.07
2022-12-30 197,843,800.93 150,940,623.04 7,765,011.72 54,668,189.61
2022-09-29 83,944,701.77 197,843,800.93 125,994,486.68 12,095,387.52
2022-06-29 100,899,645.12 83,944,701.77 22,204,963.10 39,159,906.45
2022-03-30 151,191,567.54 100,899,645.12 4,704,677.28 54,996,599.70
2021-12-30 375,110,807.60 151,191,567.54 1,046,726.06 224,965,966.12
2021-09-29 439,798,730.33 375,110,807.60 7,165,925.47 71,853,848.20
2021-06-29 513,108,390.06 439,798,730.33 28,115,235.35 101,424,895.08
2021-03-30 508,800,919.88 513,108,390.06 9,115,412.53 4,807,942.35
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