产品名称 | 陆家嘴信托-瑞泰聚金2号集合资金信托计划 |
净值信息披露
2021-04-02 | 1.0145 |
2021-03-26 | 0.9998 |
2021-03-19 | 1.0185 |
2021-03-12 | 1.0173 |
2021-03-05 | 1.0264 |
2021-02-26 | 1.0441 |
2021-02-20 | 1.0746 |
2021-02-10 | 1.0712 |
2021-02-05 | 1.0529 |
2021-01-29 | 1.0391 |
2021-01-22 | 1.0565 |
2021-01-15 | 1.0428 |
2021-01-08 | 1.0531 |
2021-01-04 | 1.0217 |
2020-12-31 | 1.0119 |
2020-12-28 | 1.0043 |
2020-12-25 | 0.9990 |