首页 - 基金 - 泰信均衡价值混合A(013757) - 份额变动
泰信均衡价值混合A(013757)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 52,885,865.29 48,137,805.26 241,806.16 4,989,866.19
2025-06-29 54,203,421.55 52,885,865.29 36,243.30 1,353,799.56
2025-03-30 55,216,436.56 54,203,421.55 48,209.58 1,061,224.59
2024-12-30 56,591,197.29 55,216,436.56 204,647.80 1,579,408.53
2024-09-29 58,411,212.61 56,591,197.29 50,011.77 1,870,027.09
2024-06-29 59,861,559.88 58,411,212.61 62,788.82 1,513,136.09
2024-03-30 63,066,688.71 59,861,559.88 62,873.39 3,268,002.22
2023-12-30 70,637,651.25 63,066,688.71 60,709.43 7,631,671.97
2023-09-29 72,325,663.95 70,637,651.25 199,130.11 1,887,142.81
2023-06-29 77,943,652.81 72,325,663.95 529,500.80 6,147,489.66
2023-03-30 79,465,631.83 77,943,652.81 1,473,966.22 2,995,945.24
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