估值截止日
理财资产单位净值
2015-01-30
1.1038
2014-12-31
1.0967
2014-11-28
1.0900
2014-10-31
1.0751
2014-09-30
1.0426
2014-08-29
1.0449
2014-07-31
1.0378
2014-06-30
1.0475
2014-03-31
1.0322