
信托净值
中信信托.沃胜5期管理型证券投资集合资金信托净值
|
估值基准日
|
信托单位净值(元)
|
信托单位净值实际增长率
|
|
2020-08-14
|
87.26(累计净值188.25)
|
88.25%
|
|
2020-08-07
|
89.34(累计净值190.33)
|
90.33%
|
|
2020-07-31
|
88.91(累计净值189.9)
|
89.9%
|
|
2020-07-24
|
84.35(累计净值185.34)
|
85.34%
|
|
2020-07-17
|
85.98(累计净值186.97)
|
86.97%
|
|
2020-07-10
|
91.73(累计净值192.72)
|
92.72%
|
|
2020-07-03
|
83.28(累计净值184.27)
|
84.27%
|
|
2020-06-19
|
77.68(累计净值178.67)
|
78.67%
|
|
2020-01-17
|
72.19(累计净值173.18)
|
73.18%
|
|
2020-01-10
|
70.78(累计净值171.77)
|
71.77%
|
|
2020-01-03
|
69.83(累计净值170.82)
|
70.82%
|
|
2019-12-27
|
68.32(累计净值169.31)
|
69.31%
|
|
2019-12-20
|
68.27(累计净值169.26)
|
69.26%
|
|
2019-12-13
|
68.73(累计净值169.72)
|
69.72%
|
|
2019-12-06
|
67.06(累计净值168.05)
|
68.05%
|
|
2019-11-29
|
66.13(累计净值167.12)
|
67.12%
|
|
2019-11-22
|
66.77(累计净值167.76)
|
67.76%
|
|
2019-11-15
|
68.04(累计净值169.03)
|
69.03%
|
|
2019-11-09
|
63.18(累计净值164.17)
|
64.17%
|
|
2019-11-08
|
68.27(累计净值169.26)
|
69.26%
|
|
2019-11-01
|
68.02(累计净值169.01)
|
69.01%
|
|
2019-10-25
|
68.1(累计净值169.09)
|
69.09%
|
|
2019-10-18
|
67.94(累计净值168.93)
|
68.93%
|
|
2019-10-11
|
68.52(累计净值169.51)
|
69.51%
|
|
2019-09-27
|
67.39(累计净值168.38)
|
68.38%
|
|
2019-09-20
|
68.65(累计净值169.64)
|
69.64%
|
|
2019-09-12
|
68.7(累计净值169.69)
|
69.69%
|
|
2019-09-06
|
68.16(累计净值169.15)
|
69.15%
|
|
2019-08-30
|
67.02(累计净值168.01)
|
68.01%
|
|
2019-08-23
|
67.44(累计净值168.43)
|
68.43%
|
全部共
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