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

2024-07-19 56.09(累计净值157.08) 57.08%
2024-07-12 55.94(累计净值156.93) 56.93%
2024-07-05 55.66(累计净值156.65) 56.65%
2024-06-28 56.50(累计净值157.49) 57.49%
2024-06-21 57.84(累计净值158.83) 58.83%
2024-06-14 58.38(累计净值159.37) 59.37%
2024-06-07 58.41(累计净值159.40) 59.40%
2024-05-31 60.49(累计净值161.48) 61.48%
2024-05-24 60.78(累计净值161.77) 61.77%
2024-05-17 61.59(累计净值162.58) 62.58%
2024-05-10 62.02(累计净值163.01) 63.01%
2024-04-03 63.45(累计净值164.44) 64.44%
2024-03-25 60.58(累计净值161.57) 61.57%
2024-03-15 61.88(累计净值162.87) 62.87%
2024-03-08 60.71(累计净值161.70) 61.70%
2024-03-01 61.62(累计净值162.61) 62.61%
2024-02-23 56.68(累计净值157.67) 57.67%
2024-02-08 53.78(累计净值154.77) 54.77%
2024-01-26 60.56(累计净值161.55) 61.55%
2024-01-19 60.64(累计净值161.63) 61.63%
2024-01-12 63.25(累计净值164.24) 64.24%
2024-01-05 63.25(累计净值164.24) 64.24%
2023-12-25 61.27(累计净值162.26) 62.26%
2023-12-15 63.16(累计净值164.15) 64.15%
2023-12-08 64.85(累计净值165.84) 65.84%
2023-12-01 65.96(累计净值166.95) 66.95%
2023-11-24 66.76(累计净值167.75) 67.75%
2023-11-17 68.22(累计净值169.21) 69.21%
2023-11-10 67.96(累计净值168.95) 68.95%
2023-11-03 65.73(累计净值166.72) 66.72%
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