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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20期人民币理财产品净值公告
发布日期:2024-04-18

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20期人民币理财产品(产品代码:2301OR0020)于2023-03-14成立,截至2024-04-17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)
2024-04-171.03571.035796,619,182.34
2024-04-151.03571.035796,613,592.84
2024-04-081.03521.035296,568,990.11
2024-04-011.03471.034796,523,746.68
2024-03-311.03461.034696,515,730.58
2024-03-291.03451.034596,501,579.18
2024-03-251.03421.034296,474,366.34
2024-03-181.03351.033596,410,239.31
2024-03-111.0331.03396,361,933.88
2024-03-041.03251.032596,312,571.99
2024-02-261.03191.031996,256,409.67
2024-02-191.03121.031296,197,346.64
2024-02-181.03111.031196,187,855.86
2024-02-051.031.0396,080,797.61
2024-01-291.02921.029296,012,098.42
2024-01-221.02851.028595,947,418.32
2024-01-151.02791.027995,889,213.5
2024-01-081.02721.027295,823,525.04
2024-01-021.02661.026695,769,857.75
2023-12-311.02641.026495,750,209.03
2023-12-291.02631.026395,734,779.77
2023-12-251.02591.025995,697,256.49
2023-12-181.02531.025395,641,985.42
2023-12-111.02471.024795,584,884.49
2023-12-041.0241.02495,527,019.92
2023-11-271.02341.023495,470,647.16
2023-11-201.02281.022895,410,339.42
2023-11-131.02211.022195,342,713.57
2023-11-061.02131.021395,276,653.06
2023-10-301.02071.020795,214,208.13
2023-10-231.021.0295,154,771.47
2023-10-161.01941.019495,096,456.75
2023-10-091.01871.018795,031,578.49
2023-10-071.01851.018595,013,536.03
2023-09-301.01791.017994,952,852.9
2023-09-281.01771.017794,937,530.76
2023-09-251.01751.017594,913,323.42
2023-09-181.0171.01794,869,915.82
2023-09-111.01631.016394,805,675.61
2023-09-041.01561.015694,743,795.24
2023-08-281.0151.01594,681,594.56
2023-08-211.01431.014394,617,332.65
2023-08-141.01351.013594,548,526.37
2023-08-071.01281.012894,479,685.49
2023-07-311.0121.01294,408,991.36
2023-07-241.01141.011494,347,949.3
2023-07-171.01071.010794,279,029.67
2023-07-101.00991.009994,209,305.49
2023-07-031.00921.009294,142,937.96
2023-06-261.00861.008694,089,573.27
2023-06-191.0081.00894,030,800.91
2023-06-121.00731.007393,962,857.85
2023-06-051.00661.006693,896,449.47
2023-05-291.00591.005993,835,243.63
2023-05-221.00521.005293,774,410.72
2023-05-151.00461.004693,712,227.8
2023-05-081.00391.003993,646,193.71
2023-05-041.00351.003593,607,437.96
2023-04-241.00251.002593,519,027.06
2023-04-171.0021.00293,469,525.8
2023-04-101.00131.001393,405,909.74
2023-04-031.00061.000693,345,383.02
2023-03-271.00011.000193,291,719.23
2023-03-200.99980.999893,266,836.48
2023-03-1311-


【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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