文谛量化套利六号私募基金

日期
单位净值累计净值日期
单位净值累计净值日期
单位净值累计净值
19/12/06
1.000
1.00020/01/03
1.012
1.01220/11/061.5191.519
19/12/13
1.000
1.00020/01/10
1.020
1.02020/11/131.5311.531
19/12/20
1.000
1.00020/01/17
1.014
1.01420/11/201.5661.566
19/12/27
1.006
1.00620/01/231.0481.04820/11/271.5461.546



20/02/071.0751.07520/12/041.5761.576



20/02/141.0891.08920/12/111.6391.639



20/02/211.1021.10220/12/181.5981.598



20/02/281.1231.12320/12/251.5791.579



20/03/061.1101.11020/12/311.5631.563



20/03/131.1591.15921/01/081.5441.544



20/03/201.2031.20321/01/151.5221.522



20/03/271.1791.17921/01/221.4941.494



20/04/031.1681.16821/01/291.4851.485



20/04/101.1681.16821/02/051.4531.453



20/04/171.1871.18721/02/191.4921.492



20/04/241.1811.18121/02/261.4781.478



20/04/301.1791.179





20/05/081.1921.192





20/05/151.2071.207





20/05/221.2221.222





20/05/291.241.24





20/06/051.241.24






20/06/121.2661.266





20/06/191.2801.280





20/06/241.2901.290





20/07/031.2931.293





20/07/101.3651.365





20/07/171.3801.380





20/07/241.4361.436





20/07/311.4581.458





20/08/71.5131.513





20/08/141.4551.455





20/08/211.4711.471





20/08/281.4481.448





20/09/041.4681.468





20/09/111.472
1.472





20/09/181.491
1.491





20/09/251.4751.475





20/09/301.4911.491





20/10/091.4761.476





20/10/161.4421.442





20/10/231.4421.442





20/10/301.4931.493