
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
|
|
2025-02-28
|
72.23(累计净值173.22)
|
73.22%
|
|
2025-02-25
|
73.59(累计净值174.58)
|
74.58%
|
|
2025-02-14
|
72.67(累计净值173.66)
|
73.66%
|
|
2025-02-07
|
72.01(累计净值173.00)
|
73.00%
|
|
2025-01-24
|
70.94(累计净值171.93)
|
71.93%
|
|
2025-01-17
|
69.58(累计净值170.57)
|
70.57%
|
|
2025-01-10
|
66.95(累计净值167.94)
|
67.94%
|
|
2025-01-03
|
67.54(累计净值168.53)
|
68.53%
|
|
2024-12-27
|
72.73(累计净值173.72)
|
73.72%
|
|
2024-12-20
|
73.27(累计净值174.26)
|
74.26%
|
|
2024-12-13
|
73.79(累计净值174.78)
|
74.78%
|
|
2024-12-06
|
74.92(累计净值175.91)
|
75.91%
|
|
2024-11-29
|
73.31(累计净值174.30)
|
74.30%
|
|
2024-11-25
|
72.61(累计净值173.60)
|
73.60%
|
|
2024-11-15
|
73.52(累计净值174.51)
|
74.51%
|
|
2024-11-08
|
76.89(累计净值177.88)
|
77.88%
|
|
2024-11-01
|
73.70(累计净值174.69)
|
74.69%
|
|
2024-10-25
|
73.24(累计净值174.23)
|
74.23%
|
|
2024-10-18
|
68.23(累计净值169.22)
|
69.22%
|
|
2024-10-11
|
66.08(累计净值167.07)
|
67.07%
|
|
2024-09-30
|
69.53(累计净值170.52)
|
70.52%
|
|
2024-09-20
|
53.32(累计净值154.31)
|
54.31%
|
|
2024-09-13
|
53.26(累计净值154.25)
|
54.25%
|
|
2024-09-06
|
53.99(累计净值154.98)
|
54.98%
|
|
2024-08-30
|
54.66(累计净值155.65)
|
55.65%
|
|
2024-08-23
|
53.63(累计净值154.62)
|
54.62%
|
|
2024-08-16
|
55.06(累计净值156.06)
|
56.05%
|
|
2024-08-09
|
55.08(累计净值156.07)
|
56.07%
|
|
2024-08-02
|
55.88(累计净值156.87)
|
56.87%
|
|
2024-07-26
|
55.19(累计净值156.18)
|
56.18%
|
全部共
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