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

2016-08-05 64.7(累计净值165.69) 65.69%
2016-07-29 64.7(累计净值165.69) 65.69%
2016-07-22 64.83(累计净值165.82) 65.82%
2016-07-15 64.85(累计净值165.84) 65.84%
2016-07-08 64.88(累计净值165.87) 65.87%
2016-07-01 64.57(累计净值165.56) 65.56%
2016-06-24 64.41(累计净值165.4) 65.4%
2016-06-17 64.52(累计净值165.51) 65.51%
2016-06-08 64.17(累计净值165.16) 65.16%
2016-06-03 64.06(累计净值165.05) 65.05%
2016-05-27 63.64(累计净值164.63) 64.63%
2016-05-20 63.78(累计净值164.77) 64.77%
2016-05-13 63.84(累计净值164.83) 64.83%
2016-05-06 64.07(累计净值165.06) 65.06%
2016-04-29 64.18(累计净值165.17) 65.17%
2016-04-22 64.1(累计净值165.09) 65.09%
2016-04-15 64.49(累计净值165.48) 65.48%
2016-04-08 64.14(累计净值165.13) 65.13%
2016-04-01 63.96(累计净值164.95) 64.95%
2016-03-25 64.04(累计净值165.03) 65.03%
2016-03-18 63.97(累计净值164.96) 64.96%
2016-03-11 63.64(累计净值164.63) 64.63%
2016-03-04 63.65(累计净值164.64) 64.64%
2016-02-26 64.49(累计净值165.48) 65.48%
2016-02-19 67.44(累计净值168.43) 68.43%
2016-02-05 67.24(累计净值168.23) 68.23%
2016-01-29 67.17(累计净值168.16) 68.16%
2016-01-22 67.24(累计净值168.23) 68.23%
2016-01-15 67.17(累计净值168.16) 68.16%
2016-01-08 68.88(累计净值169.87) 69.87%
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