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净值公告-公募封闭式

邮银财智安鑫投·鸿运封闭式2023年第1期人民币理财产品净值公告
发布日期:2024-03-26

尊敬的投资者:

我公司发行的邮银财智安鑫投·鸿运封闭式2023年第1期人民币理财产品(产品代码:2301OS0001)于2023-05-23成立,截至2024-03-25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)
2024-03-251.01421.0287709,930,511.75
2024-03-181.01361.0281709,539,697.12
2024-03-111.01291.0274709,046,660.31
2024-03-041.01221.0267708,566,896.24
2024-02-261.01161.0261708,124,863.03
2024-02-191.0111.0255707,713,300.34
2024-02-181.01081.0253707,596,701.28
2024-02-051.00971.0242706,769,334.98
2024-01-291.0091.0235706,288,002.21
2024-01-221.00841.0229705,882,045.32
2024-01-151.00761.0221705,354,020.45
2024-01-081.0071.0215704,932,606.15
2024-01-021.00651.021704,532,322.71
2023-12-311.00621.0207704,370,365.07
2023-12-291.00611.0206704,249,131.49
2023-12-251.00571.0202703,997,176.11
2023-12-221.00551.02703,867,393.4
2023-12-181.01951.0195713,690,657.52
2023-12-111.01891.0189713,243,182.55
2023-12-041.01831.0183712,801,736.91
2023-11-271.01771.0177712,367,529.19
2023-11-201.01691.0169711,850,867.59
2023-11-131.01621.0162711,382,687.8
2023-11-061.01561.0156710,946,477.47
2023-10-301.01481.0148710,378,653.08
2023-10-231.01421.0142709,927,483.16
2023-10-161.01371.0137709,618,501.12
2023-10-091.01311.0131709,155,207.95
2023-10-071.01281.0128708,962,635.9
2023-09-301.01221.0122708,555,217.77
2023-09-281.0121.012708,396,028.86
2023-09-251.01171.0117708,214,545.78
2023-09-181.01111.0111707,806,944.01
2023-09-111.00961.0096706,759,842.64
2023-09-041.00981.0098706,844,114.67
2023-08-281.00911.0091706,363,542.76
2023-08-211.00841.0084705,917,840.55
2023-08-141.00781.0078705,495,929.19
2023-08-071.00721.0072705,050,498.02
2023-07-311.00611.0061704,309,983.2
2023-07-241.00591.0059704,115,390.24
2023-07-171.00481.0048703,340,501.73
2023-07-101.00361.0036702,552,224.14
2023-07-031.00251.0025701,759,502.87
2023-06-261.0021.002701,434,091.17
2023-06-191.00151.0015701,057,939.48
2023-06-121.00171.0017701,199,607.56
2023-06-051.00091.0009700,651,900.13
2023-05-291.00041.0004700,279,503.17
2023-05-2211-


【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。

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2024年03月26日

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