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净值公告-公募封闭式理财产品

邮银财富·瑞享抗通胀封闭式2019年第5期人民币理财产品净值公告
发布日期:2021-09-18

尊敬的投资者:

我行发行的邮银财富·瑞享抗通胀封闭式2019年第5期人民币理财产品(产品代码:1901TZ0005)于2019年12月19日成立。截至2021年09月17日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)
2021-09-171.08261.0826253,593,701.85
2021-09-101.08191.0819253,439,606.91
2021-09-031.08111.0811253,233,621.81
2021-08-271.08031.0803253,056,556.5
2021-08-201.07941.0794252,848,834.97
2021-08-131.07851.0785252,629,403.29
2021-08-061.07761.0776252,426,634.72
2021-07-301.07651.0765252,177,412.64
2021-07-231.07561.0756251,954,658.03
2021-07-161.07441.0744251,677,164.3
2021-07-091.07311.0731251,375,418.38
2021-07-021.07201.0720251,110,205.53
2021-06-301.07161.0716251,024,506.52
2021-06-251.07091.0709250,848,412.36
2021-06-181.06991.0699250,625,609.37
2021-06-111.06911.0691250,430,579.83
2021-06-041.06861.0686250,311,920.01
2021-05-281.06781.0678250,121,524.21
2021-05-211.06671.0667249,860,195.37
2021-05-141.06561.0656249,623,041.34
2021-05-071.06451.0645249,345,284.58
2021-04-301.06351.0635249,115,632.55
2021-04-231.06271.0627248,926,983.4
2021-04-161.06171.0617248,688,397.64
2021-04-091.06051.0605248,407,431.03
2021-04-021.05961.0596248,217,446.37
2021-03-311.05931.0593248,142,456.21
2021-03-261.05861.0586247,974,928.22
2021-03-191.05741.0574247,699,554.29
2021-03-121.05621.0562247,423,119.29
2021-03-051.05501.0550247,127,039.26
2021-02-261.05381.0538246,855,784.25
2021-02-191.05271.0527246,580,124.24
2021-02-051.05091.0509246,175,314.21
2021-01-291.05021.0502245,995,094.2
2021-01-221.04991.0499245,926,384.2
2021-01-151.04901.0490245,716,299.18
2021-01-081.04811.0481245,517,464.16
2020-12-251.04561.0456244,936,469.13
2020-12-181.04441.0444244,640,972.88
2020-12-111.04331.0433244,383,067.32
2020-12-041.04201.0420244,096,228.94
2020-11-271.04091.0409243,839,020.56
2020-11-201.04001.0400243,618,977.19
2020-11-131.04001.0400243,622,888.79
2020-11-061.04001.0400243,616,840.41
2020-10-301.03911.0391243,410,942.04
2020-10-231.03811.0381243,179,675.99
2020-10-161.03701.0370242,904,365.38
2020-10-091.03601.0360242,686,729.79
2020-09-251.03441.0344242,296,258.6
2020-09-181.03361.0336242,123,823.02
2020-09-111.03241.0324241,832,507.41
2020-09-041.03141.0314241,606,456.81
2020-08-281.03091.0309241,486,431.23
2020-08-211.03091.0309241,495,079.67
2020-08-141.03001.0300241,279,493.4
2020-08-071.02891.0289241,013,291.96
2020-07-311.02811.0281240,821,423.88
2020-07-241.02731.0273240,649,634.61
2020-07-171.02541.0254240,204,054.48
2020-07-101.02501.0250240,097,235.39
2020-07-031.02601.0260240,333,324.39
2020-06-191.02471.0247240,023,783.58
2020-06-121.02391.0239239,843,655.78
2020-06-051.02261.0226239,545,111.16
2020-05-291.02391.0239239,834,253.9
2020-05-221.02361.0236239,785,442.9
2020-05-151.02291.0229239,618,365.03
2020-05-081.02241.0224239,486,794.8
2020-04-241.02101.0210239,168,310.26
2020-04-171.01961.0196238,833,452.44
2020-04-101.01811.0181238,491,319.92
2020-04-031.01591.0159237,964,785.69
2020-03-271.01471.0147237,700,256.29
2020-03-201.01331.0133237,369,848.43
2020-03-131.01271.0127237,223,087.69
2020-03-061.01211.0121237,085,265.54
2020-02-281.01111.0111236,838,942.22
2020-02-211.01001.0100236,585,963.32
2020-02-141.00901.0090236,349,352.45
2020-02-071.00761.0076236,027,515.57
2020-01-171.00431.0043235,252,481.68
2020-01-101.00341.0034235,053,443.83
2020-01-031.00231.0023234,790,780.3
2019-12-271.00131.0013234,544,141.92
2019-12-181.00001.0000-

备注:浮动管理费计提日的净值为扣除当期浮动管理费后的净值。除浮动管理费计提日外,其他净值披露日披露的净值均未扣除当期浮动管理费。


【风险提示】

理财产品过往业绩不代表其未来表现,不等于理财产品实际收益,投资须谨慎。

本产品无预期收益率,产品净值随所投资资产的估值变动,产品申购、赎回、清算以产品净值为计算基础,客户所能获得的最终收益以实际支付的为准。

我行将恪守勤勉尽责的原则,合理配置资产组合,为客户提供专业化的理财服务。客户应密切关注邮储银行官网与本产品有关的信息披露,以免造成不必要的损失。

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2021年09月18日

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