清水源39号资产管理计划
清水源精选专项资管计划 产品净值 (2016-10-31)
2016-11-04
| 估值日 | 单位净值(元) | 累计净值(元) |
| 2016/10/31 | 0.7060 | 0.7060 |
| 2016/9/30 | 0.7020 | 0.7020 |
| 2016/8/31 | 0.7040 | 0.7040 |
| 2016/7/29 | 0.6980 | 0.6980 |
| 2016/6/30 | 0.6900 | 0.6900 |
| 2016/5/31 | 0.6770 | 0.6770 |
| 2016/4/29 | 0.6790 | 0.6790 |
| 2016/3/31 | 0.6790 | 0.6790 |
| 2016/2/29 | 0.6360 | 0.6360 |
| 2016/1/29 | 0.6470 | 0.6470 |
| 2015/12/31 | 0.7350 | 0.7350 |
| 2015/11/27 | 0.7240 | 0.7240 |
| 2015/10/30 | 0.7200 | 0.7200 |
| 2015/9/30 | 0.6850 | 0.6850 |
| 2015/8/31 | 0.6980 | 0.6980 |
| 2015/7/31 | 0.7310 | 0.7310 |
| 2015/6/30 | 0.8550 | 0.8550 |
| 2015/6/5 | 1.0000 | 1.0000 |

