
信托净值
云南信托.沃胜2期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
|
|
2023-12-08
|
110.94(累计净值162.26)
|
62.26%
|
|
2023-12-01
|
112.29(累计净值163.61)
|
63.61%
|
|
2023-11-24
|
113.63(累计净值164.95)
|
64.95%
|
|
2023-11-17
|
115.75(累计净值167.07)
|
67.07%
|
|
2023-11-10
|
115.44(累计净值166.76)
|
66.76%
|
|
2023-11-03
|
111.73(累计净值163.05)
|
63.05%
|
|
2023-10-27
|
110.12(累计净值161.44)
|
61.44%
|
|
2023-10-20
|
108.12(累计净值159.44)
|
59.44%
|
|
2023-10-13
|
113.81(累计净值165.13)
|
65.13%
|
|
2023-09-28
|
117.72(累计净值169.04)
|
69.04%
|
|
2023-09-22
|
115.47(累计净值166.79)
|
66.79%
|
|
2023-09-15
|
114.57(累计净值165.89)
|
65.89%
|
|
2023-09-08
|
116.27(累计净值167.59)
|
67.59%
|
|
2023-09-01
|
118.26(累计净值169.58)
|
69.58%
|
|
2023-08-25
|
115.12(累计净值166.44)
|
66.44%
|
|
2023-08-18
|
119.19(累计净值170.51)
|
70.51%
|
|
2023-08-11
|
122.03(累计净值173.35)
|
73.35%
|
|
2023-08-04
|
126.08(累计净值177.40)
|
77.40%
|
|
2023-07-28
|
125.36(累计净值176.68)
|
76.68%
|
|
2023-07-21
|
123.24(累计净值174.56)
|
74.56%
|
|
2023-07-14
|
126.43(累计净值177.75)
|
77.75%
|
|
2023-07-07
|
124.57(累计净值175.89)
|
75.89%
|
|
2023-06-30
|
127.46(累计净值178.78)
|
78.78%
|
|
2023-06-21
|
124.85(累计净值176.17)
|
76.17%
|
|
2023-06-16
|
126.55(累计净值177.87)
|
77.87%
|
|
2023-06-09
|
122.21(累计净值173.53)
|
73.53%
|
|
2023-06-02
|
127.20(累计净值178.52)
|
78.52%
|
|
2023-05-26
|
128.01(累计净值179.33)
|
79.33%
|
|
2023-05-19
|
127.91(累计净值179.23)
|
79.23%
|
|
2023-05-12
|
125.37(累计净值176.69)
|
76.69%
|
全部共
437条信息
第
1/
15页
1
2
3
4
5
... 14
15
下一页
尾页