合信双翼2号债券投资集合资金信托计划
净值 估值日
0.8700 2021-03-02
0.8702 2021-02-23
0.8708 2021-02-09
0.8709 2021-02-02
0.8735 2021-01-26
0.8779 2021-01-19
0.8761 2021-01-12
0.8767 2020-12-29
0.8773 2020-12-22
0.8776 2020-12-15
0.8919 2020-12-08
0.8921 2020-12-01