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华鑫信托·惠盈泽初7号集合资金信托计划(惠盈泽初7号-第9期)净值公告
文章来源:华鑫信托发布日期:2026-07-21华鑫信托

日期单位净值(元)
2026-07-170.9984
2026-07-100.9984
2026-07-030.9985
2026-06-260.9985
2026-06-180.9986
2026-06-120.9986
2026-06-050.9986
2026-05-290.9987
2026-05-220.9987
2026-05-150.9987
2026-05-080.9988
2026-04-300.9988
2026-04-240.9988
2026-04-170.9989
2026-04-100.9989
2026-04-030.9990
2026-03-270.9990
2026-03-200.9990
2026-03-130.9991
2026-03-060.9991
2026-02-270.9991
2026-02-130.9992
2026-02-060.9992
2026-01-300.9993
2026-01-230.9993
2025-12-260.9995
2025-10-100.9999
2026-01-160.9994
2026-01-090.9994
2025-12-310.9994
2025-12-190.9995
2025-12-120.9996
2025-12-050.9996
2025-11-280.9997
2025-11-210.9997
2025-11-140.9997
2025-11-070.9998
2025-10-310.9998
2025-10-240.9998
2025-10-170.9999
2025-09-301.0000
2025-09-261.0000
2025-09-191.0000

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