
信息披露
凈值公布

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信息披露 >
凈值公布
估值日期 |
信托單位凈值(元) |
20230908 |
-0.1014 |
20230901 |
-0.1000 |
20230825 |
-0.1016 |
20230818 |
-0.0942 |
20230811 |
-0.0943 |
20230804 |
-0.0876 |
20230728 |
-0.0892 |
20230721 |
-0.0983 |
20230714 |
-0.1006 |
20230707 |
-0.0977 |
20230630 |
-0.1016 |
20230623 |
-0.1009 |
20230616 |
-0.0942 |
20230609 |
-0.0913 |
20230602 |
-0.0869 |
20230526 |
-0.0877 |
20230519 |
-0.0870 |
20230512 |
-0.0901 |
20230505 |
-0.0827 |
20230428 |
-0.0828 |
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