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产品名称:四相3期
开始日期:
结束日期:
日期信托单位净值(元)信托单位累计净值(元)当期增长率累计增长率
2022-05-131.09421.25985.19%26.49%
2022-05-201.19291.35859.02%36.4%
2022-05-271.16561.3312-2.29%33.65%
2022-06-021.16521.3308-0.03%33.61%
2022-06-101.16481.3304-0.03%33.57%
2022-06-171.16451.3301-0.03%33.54%
2022-06-241.16421.3298-0.03%33.51%
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