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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3期(新春专属)A人民币理财产品净值公告
发布日期:2024-03-05

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3期(新春专属)A人民币理财产品(产品代码:2301OR003A)于2023-01-28成立,截至2024-03-04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)
2024-03-041.04051.0405126,245,334.96
2024-02-291.04021.0402126,215,132.88
2024-02-221.03951.0395126,128,647.86
2024-02-181.03921.0392126,088,469.32
2024-02-081.03841.0384125,992,000.54
2024-02-011.03771.0377125,902,346
2024-01-251.0371.037125,824,365.94
2024-01-181.03641.0364125,749,562.24
2024-01-111.03561.0356125,655,508.93
2024-01-041.03491.0349125,571,652.74
2023-12-311.03451.0345125,521,775.5
2023-12-291.03431.0343125,488,848.89
2023-12-281.03411.0341125,470,744.76
2023-12-211.03341.0334125,381,003.04
2023-12-141.03271.0327125,294,693.82
2023-12-071.0321.032125,212,731.15
2023-11-301.03131.0313125,131,023.31
2023-11-231.03071.0307125,051,505.68
2023-11-161.02991.0299124,962,787.97
2023-11-091.02931.0293124,882,700.7
2023-11-021.02851.0285124,795,819.91
2023-10-261.02781.0278124,709,894.25
2023-10-191.02711.0271124,625,208.82
2023-10-121.02641.0264124,531,562.13
2023-10-071.02581.0258124,460,387.86
2023-09-301.02511.0251124,378,765.84
2023-09-281.02491.0249124,356,362.68
2023-09-211.02431.0243124,278,352.36
2023-09-141.02361.0236124,189,843.73
2023-09-071.02291.0229124,114,922.96
2023-08-311.02231.0223124,042,537.59
2023-08-241.02161.0216123,954,785.9
2023-08-171.02091.0209123,862,491.76
2023-08-101.021.02123,764,169.11
2023-08-031.01931.0193123,674,782.98
2023-07-271.01861.0186123,585,076.15
2023-07-201.01791.0179123,505,750.24
2023-07-131.01721.0172123,420,498.77
2023-07-061.01651.0165123,335,247.2
2023-06-301.01591.0159123,256,031.48
2023-06-291.01581.0158123,244,185.05
2023-06-251.01541.0154123,198,730.67
2023-06-151.01431.0143123,071,938.01
2023-06-081.01361.0136122,985,034.94
2023-06-011.01341.0134122,957,428.7
2023-05-251.01261.0126122,866,524.01
2023-05-181.01191.0119122,778,432.57
2023-05-111.0111.011122,672,688.46
2023-05-041.01021.0102122,570,783.63
2023-04-271.00951.0095122,479,830.56
2023-04-201.00861.0086122,372,038.57
2023-04-131.00771.0077122,265,642.32
2023-04-061.00681.0068122,158,093.57
2023-03-301.0061.006122,061,539.34
2023-03-231.00521.0052121,959,224.57
2023-03-161.00431.0043121,849,887.34
2023-03-091.00341.0034121,740,914.51
2023-03-021.00251.0025121,633,619.12
2023-02-231.00181.0018121,549,838.38
2023-02-161.0011.001121,459,219.07
2023-02-091.00051.0005121,388,372.11
2023-02-020.99980.9998121,303,407.5
2023-01-2711-


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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。

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