渤海信托-渤海宝现金管理型集合资金信托计划
净值 估值日
1.0727 2021-02-19
1.0708 2021-02-10
1.0698 2021-02-05
1.0687 2021-01-31
1.0668 2021-01-22
1.0654 2021-01-15
1.0639 2021-01-08
1.0622 2020-12-31
1.0610 2020-12-25
1.0627 2020-12-18
1.0613 2020-12-11
1.0598 2020-12-04