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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23期人民币理财产品净值公告
发布日期:2024-04-17

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23期人民币理财产品(产品代码:2301OR0023)于2023-03-21成立,截至2024-04-16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)
2024-04-161.03541.0354114,881,536.22
2024-04-091.03481.0348114,812,522.95
2024-04-021.03421.0342114,747,841.31
2024-03-311.0341.034114,725,111.85
2024-03-291.03391.0339114,706,078.22
2024-03-261.03371.0337114,682,623.59
2024-03-191.0331.033114,610,408.93
2024-03-121.03251.0325114,554,539.19
2024-03-051.03191.0319114,492,765.12
2024-02-271.03141.0314114,431,341.86
2024-02-201.03071.0307114,359,138.47
2024-02-181.03051.0305114,336,472.67
2024-02-061.02951.0295114,225,222.8
2024-01-301.02881.0288114,148,666.85
2024-01-231.02831.0283114,083,553.81
2024-01-161.02761.0276114,006,989.92
2024-01-091.02691.0269113,935,061.98
2024-01-021.02611.0261113,842,827.96
2023-12-311.02591.0259113,820,519.58
2023-12-291.02571.0257113,801,100.05
2023-12-261.02531.0253113,750,763.44
2023-12-191.02471.0247113,686,248.72
2023-12-121.02411.0241113,621,418.64
2023-12-051.02351.0235113,561,619.68
2023-11-281.0231.023113,496,594.79
2023-11-211.02241.0224113,433,665.36
2023-11-141.02181.0218113,365,649.45
2023-11-071.02111.0211113,294,264.07
2023-10-311.02051.0205113,222,717.29
2023-10-241.01991.0199113,156,127.22
2023-10-171.01931.0193113,090,110.46
2023-10-101.01861.0186113,017,689.47
2023-10-071.01841.0184112,987,481.13
2023-09-301.01781.0178112,925,913.33
2023-09-281.01771.0177112,909,461.72
2023-09-261.01751.0175112,891,546.7
2023-09-191.01691.0169112,821,919.68
2023-09-121.01611.0161112,738,880.68
2023-09-051.01561.0156112,678,286.83
2023-08-291.01491.0149112,600,743.67
2023-08-221.01421.0142112,519,347.21
2023-08-151.01331.0133112,429,574.81
2023-08-081.01261.0126112,344,247.55
2023-08-011.01181.0118112,257,996.64
2023-07-251.01111.0111112,179,948.1
2023-07-181.01021.0102112,081,394
2023-07-111.00941.0094111,988,373.85
2023-07-041.00851.0085111,894,285.94
2023-06-271.00791.0079111,820,338.77
2023-06-201.00711.0071111,738,278.66
2023-06-131.00641.0064111,657,640.04
2023-06-061.00561.0056111,570,616.68
2023-05-301.00491.0049111,491,261.07
2023-05-231.00421.0042111,411,641.73
2023-05-161.00351.0035111,339,143.33
2023-05-091.00271.0027111,254,039.42
2023-05-041.00221.0022111,194,665.5
2023-04-251.0021.002111,166,658.45
2023-04-181.00151.0015111,117,277.22
2023-04-111.00091.0009111,048,821.51
2023-04-041.00041.0004110,989,809.91
2023-03-281.00011.0001110,960,757.68
2023-03-2011-


【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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