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产品名称:四相融荟聚星1号
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
2021-03-190.86100.8610-7.42%-13.9%
2021-03-260.87000.87001.05%-13%
2021-04-020.85500.8550-1.72%-14.5%
2021-04-090.84200.8420-1.52%-15.8%
2021-04-160.78500.7850-6.77%-21.5%
2021-04-220.79300.79301.02%-20.7%
2021-04-280.86700.86709.33%-13.3%
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