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    400-610-9969

    凈值公布

    > 信息披露 > 凈值公布
    估值日期 信托單位凈值(元)
    20211224 0.0000
    20211217 0.5019
    20211210 0.4874
    20211203 0.4952
    20211126 0.4807
    20211119 0.4875
    20211112 0.4885
    20211105 0.4876
    20211029 0.4808
    20211022 0.4828
    20211015 0.4896
    20211008 0.5022
    20210930 0.4994
    20210924 0.5274
    20210917 0.5207
    20210910 0.5439
    20210903 0.5285
    20210827 0.5102
    20210820 0.5024
    20210813 0.4957
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