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净值公告-公募封闭式

邮银财富安鑫投·鸿运封闭式2023年第22期(湖南专属)人民币理财产品净值公告
发布日期:2024-04-28

尊敬的投资者:

我公司发行的邮银财富安鑫投·鸿运封闭式2023年第22期(湖南专属)人民币理财产品(产品代码:2301OR0022)于2023-03-27成立,截至2024-04-26的产品单位净值情况如下:

估值日期 产品份额净值(元) 产品累计份额净值(元) 产品资产净值(元)
2024-04-261.04081.04081,725,559,841.41
2024-04-181.04011.04011,724,538,304.06
2024-04-111.03951.03951,723,412,095.49
2024-04-071.03911.03911,722,859,974.06
2024-03-311.03851.03851,721,769,627.46
2024-03-291.03821.03821,721,353,762.44
2024-03-281.03811.03811,721,172,762.78
2024-03-211.03741.03741,720,034,177.16
2024-03-141.03671.03671,718,861,244.21
2024-03-071.0361.0361,717,705,800.04
2024-02-291.03531.03531,716,512,235.76
2024-02-221.03461.03461,715,326,549.61
2024-02-181.03421.03421,714,629,483.66
2024-02-081.03321.03321,712,991,338.61
2024-02-011.03241.03241,711,719,629.91
2024-01-251.03161.03161,710,431,657.16
2024-01-181.03091.03091,709,174,073.9
2024-01-111.03021.03021,708,011,932.2
2024-01-041.02941.02941,706,755,518.52
2023-12-311.02891.02891,705,929,206.84
2023-12-291.02881.02881,705,663,319.1
2023-12-281.02861.02861,705,433,083.64
2023-12-211.02781.02781,704,089,218.53
2023-12-141.0271.0271,702,829,315.83
2023-12-071.02641.02641,701,751,310.3
2023-11-301.02571.02571,700,583,789.14
2023-11-231.0251.0251,699,431,941.55
2023-11-161.02441.02441,698,378,593.98
2023-11-091.02361.02361,697,125,511.43
2023-11-021.02291.02291,695,963,286.89
2023-10-261.02211.02211,694,660,414.04
2023-10-191.02141.02141,693,552,891.27
2023-10-121.02081.02081,692,435,128.76
2023-10-071.02031.02031,691,576,114.05
2023-09-301.01951.01951,690,289,257.49
2023-09-281.01931.01931,690,024,606.54
2023-09-211.01861.01861,688,882,638.33
2023-09-141.01791.01791,687,628,517.65
2023-09-071.01731.01731,686,634,503.17
2023-08-311.01661.01661,685,478,459.61
2023-08-241.01591.01591,684,382,794.45
2023-08-171.01511.01511,683,064,080.91
2023-08-101.01431.01431,681,638,451.65
2023-08-031.01341.01341,680,286,411.66
2023-07-271.01261.01261,678,935,933.63
2023-07-201.01191.01191,677,751,049.83
2023-07-131.01111.01111,676,355,555.87
2023-07-061.01021.01021,674,970,542.93
2023-06-291.00941.00941,673,594,514.14
2023-06-251.0091.0091,672,994,049.13
2023-06-151.00811.00811,671,403,240.81
2023-06-081.00731.00731,670,059,973.91
2023-06-011.00641.00641,668,554,037.84
2023-05-251.00541.00541,667,005,430.96
2023-05-181.00481.00481,665,970,979.69
2023-05-111.0041.0041,664,585,606.31
2023-05-041.00291.00291,662,848,525.5
2023-04-271.00251.00251,662,217,313.93
2023-04-201.0021.0021,661,333,229.16
2023-04-131.00141.00141,660,249,326.97
2023-04-061.00071.00071,659,160,087.74
2023-03-301.00021.00021,658,265,166.77
2023-03-2611-


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