
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
|
|
2025-10-10
|
98.12(累计净值199.11)
|
99.11%
|
|
2025-09-19
|
95.73(累计净值196.72)
|
96.72%
|
|
2025-09-12
|
94.69(累计净值195.68)
|
95.68%
|
|
2025-09-05
|
91.72(累计净值192.71)
|
92.71%
|
|
2025-08-29
|
91.76(累计净值192.75)
|
92.75%
|
|
2025-08-22
|
85.79(累计净值186.78)
|
86.78%
|
|
2025-08-15
|
83.34(累计净值184.33)
|
84.33%
|
|
2025-08-08
|
80.52(累计净值181.51)
|
81.51%
|
|
2025-08-01
|
79.15(累计净值180.14)
|
80.14%
|
|
2025-07-25
|
80.21(累计净值181.20)
|
81.20%
|
|
2025-07-18
|
78.12(累计净值179.11)
|
79.11%
|
|
2025-07-11
|
76.01(累计净值177.00)
|
77.00%
|
|
2025-07-04
|
73.73(累计净值174.72)
|
74.72%
|
|
2025-06-27
|
71.78(累计净值172.77)
|
72.77%
|
|
2025-06-20
|
69.90(累计净值170.89)
|
70.89%
|
|
2025-06-13
|
70.16(累计净值171.15)
|
71.15%
|
|
2025-06-06
|
69.69(累计净值170.68)
|
70.68%
|
|
2025-05-30
|
68.11(累计净值169.10)
|
69.10%
|
|
2025-05-23
|
67.91(累计净值168.90)
|
68.90%
|
|
2025-05-16
|
67.93(累计净值168.92)
|
68.92%
|
|
2025-05-09
|
66.72(累计净值167.71)
|
67.71%
|
|
2025-04-30
|
64.97(累计净值165.96)
|
65.96%
|
|
2025-04-25
|
64.79(累计净值165.78)
|
65.78%
|
|
2025-04-18
|
63.83(累计净值164.82)
|
64.82%
|
|
2025-04-11
|
64.78(累计净值165.77)
|
65.77%
|
|
2025-04-03
|
69.76(累计净值170.75)
|
70.75%
|
|
2025-03-28
|
72.19(累计净值173.18)
|
73.18%
|
|
2025-03-21
|
72.61(累计净值173.60)
|
73.60%
|
|
2025-03-14
|
74.01(累计净值175.00)
|
75.00%
|
|
2025-03-07
|
73.10(累计净值174.09)
|
74.09%
|
全部共
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