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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4期(新春专属)A人民币理财产品净值公告
发布日期:2024-04-19

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4期(新春专属)A人民币理财产品(产品代码:2301OR004A)于2023-01-28成立,截至2024-04-18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)
2024-04-181.05281.052855,296,653.68
2024-04-111.05171.051755,242,828.31
2024-04-071.05111.051155,207,736.35
2024-03-311.05011.050155,158,569.89
2024-03-291.04981.049855,143,329.04
2024-03-281.04971.049755,136,962.51
2024-03-211.04891.048955,095,908.21
2024-03-141.0481.04855,048,719.03
2024-03-071.04731.047355,012,427.21
2024-02-291.04651.046554,968,237.71
2024-02-221.04561.045654,919,147.82
2024-02-181.04491.044954,883,918.51
2024-02-081.04371.043754,820,412.76
2024-02-011.04281.042854,772,482.35
2024-01-251.04181.041854,722,236.29
2024-01-181.04091.040954,674,083.93
2024-01-111.03991.039954,621,974.8
2024-01-041.0391.03954,572,629.73
2023-12-311.03851.038554,546,954.04
2023-12-291.03831.038354,536,345.46
2023-12-281.03811.038154,528,305.99
2023-12-211.03711.037154,472,854.2
2023-12-141.03621.036254,425,564.23
2023-12-071.03531.035354,378,027.56
2023-11-301.03451.034554,335,232.82
2023-11-231.03371.033754,297,477.37
2023-11-161.03291.032954,254,533.89
2023-11-091.03211.032154,212,156.61
2023-11-021.03121.031254,166,604.19
2023-10-261.03051.030554,125,401.99
2023-10-191.02981.029854,088,278.35
2023-10-121.0291.02954,048,969.77
2023-10-071.02851.028554,022,486.65
2023-09-301.02771.027753,982,483.04
2023-09-281.02761.027653,973,164.72
2023-09-211.02681.026853,934,229.26
2023-09-141.0261.02653,889,716.3
2023-09-071.02531.025353,851,842.65
2023-08-311.02471.024753,825,007.97
2023-08-241.0241.02453,784,145.65
2023-08-171.02311.023153,740,039.78
2023-08-101.02231.022353,695,292.83
2023-08-031.02131.021353,644,765.75
2023-07-271.02051.020553,600,970.8
2023-07-201.01971.019753,561,621.36
2023-07-131.01891.018953,520,631.4
2023-07-061.0181.01853,473,211.56
2023-06-301.01731.017353,435,068.5
2023-06-291.01721.017253,429,774.09
2023-06-251.01681.016853,409,486.84
2023-06-151.01581.015853,354,769.61
2023-06-081.0151.01553,310,923.78
2023-06-011.01481.014853,303,876.9
2023-05-251.0141.01453,260,064.45
2023-05-181.01321.013253,219,254.07
2023-05-111.01231.012353,172,484.65
2023-05-041.01141.011453,122,502.93
2023-04-271.01051.010553,079,524.8
2023-04-201.00961.009653,027,957.97
2023-04-131.00861.008652,976,002.49
2023-04-061.00791.007952,940,854.9
2023-03-301.00711.007152,898,136.25
2023-03-231.00631.006352,855,144.27
2023-03-161.00531.005352,804,100.16
2023-03-091.00431.004352,751,661.57
2023-03-021.00311.003152,689,003.76
2023-02-231.00221.002252,640,268.67
2023-02-161.00121.001252,588,913.57
2023-02-091.00021.000252,533,766.21
2023-02-020.99950.999552,499,979.45
2023-01-2711-


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