| “重庆国投·京华基金宝(第1期)”信托财产价值表 | |||||
| 单位:元 | |||||
| 截止时间 | 信托单位净值 | 备注 | |||
| 2007.10.19 | 1.0011 | ||||
| 2007.10.26 | 0.9861 | ||||
| 2007.11.2 | 1.0317 | ||||
| 2007.11.9 | 0.9880 | ||||
| 2007.11.16 | 0.9966 | ||||
| 2007.11.20 | 0.9890 | ||||
| 2007.11.23 | 0.9481 | ||||
| 2007.11.30 | 0.9279 | ||||
| 2007.12.7 | 0.9808 | ||||
| 2007.12.14 | 0.9677 | ||||
| 2007.12.20 | 0.9876 | ||||
| 2007.12.21 | 0.9980 | ||||
| 2007.12.28 | 1.0358 | ||||
| 2008.1.4 | 1.0699 | ||||
| 2008.1.11 | 1.1014 | ||||
| 2008.1.18 | 1.0441 | ||||
| 2008.1.25 | 0.9249 | ||||
| 2008.2.1 | 0.8799 | ||||
| 2008.2.15 | 0.9145 | ||||
| 2008.2.20 | 0.9194 | ||||
| 2008.2.22 | 0.8916 | ||||
| 2008.2.29 | 0.8818 | ||||
| 2008.3.7 | 0.8701 | ||||
| 2008.3.14 | 0.7907 | ||||
| 2008.3.20 | 0.7499 | ||||
| 2008.3.21 | 0.7511 | ||||
| 2008.3.28 | 0.7279 | ||||
| 2008.4.3 | 0.6474 | ||||
| 2008.4.11 | 0.6560 | ||||
| 2008.4.18 | 0.6343 | ||||
| 2008.4.25 | 0.6424 | ||||
| 2008.5.4 | 0.6737 | ||||
| 2008.5.9 | 0.6950 | ||||
| 2008.5.16 | 0.6933 | ||||
| 2008.5.20 | 0.6745 | ||||
| 2008.5.23 | 0.6467 | ||||
| 2008.5.30 | 0.6523 | ||||
| 2008.6.6 | 0.6278 | ||||
| 2008.6.13 | 0.5063 | ||||
| 2008.6.20 | 0.5249 | ||||
| 2008.6.27 | 0.5023 | ||||
| 2008.7.4 | 0.4773 | ||||
| 2008.7.11 | 0.4924 | ||||
| 2008.7.18 | 0.4875 | ||||
| 2008.7.25 | 0.4998 | ||||
| 2008.8.1 | 0.4818 | ||||
| 2008.8.8 | 0.4508 | ||||
| 2008.8.15 | 0.4415 | ||||
| 2008.8.22 | 0.4337 | ||||