渤海信托·景唐2号债券投资集合资金信托计划
净值 估值日
0.7362 2021-02-18
0.7363 2021-02-04
0.7364 2021-01-28
0.7365 2021-01-21
0.7365 2021-01-14
0.7366 2021-01-07
0.7367 2020-12-31
0.7367 2020-12-24
0.7368 2020-12-17
0.7369 2020-12-10
0.7369 2020-12-03
0.7370 2020-11-26