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邮银财富安益投·鸿锦封闭式2023年第11期(安盈款)B人民币理财产品净值公告
发布日期:2024-04-22

尊敬的投资者:

我公司发行的邮银财富安益投·鸿锦封闭式2023年第11期(安盈款)B人民币理财产品(产品代码:2301AY011B)于2023-04-03成立,截至2024-04-19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)
2024-04-191.03621.036276,973,610.75
2024-04-121.03561.035676,926,774.99
2024-04-071.03511.035176,891,715.57
2024-03-311.0341.03476,810,314.7
2024-03-291.03391.033976,798,330.03
2024-03-221.03321.033276,748,901.47
2024-03-151.03251.032576,699,520.35
2024-03-081.0321.03276,661,817.87
2024-03-011.03141.031476,611,128.04
2024-02-231.03081.030876,571,932.65
2024-02-181.03031.030376,534,622.75
2024-02-091.02941.029476,469,247.84
2024-02-021.02881.028876,419,422.19
2024-01-261.02781.027876,347,833.4
2024-01-191.02711.027176,297,211.15
2024-01-121.02641.026476,244,591.49
2024-01-051.02581.025876,195,766.82
2023-12-311.0251.02576,138,827.69
2023-12-291.02481.024876,127,306.16
2023-12-221.0251.02576,141,929.84
2023-12-151.02441.024476,091,816.06
2023-12-081.02371.023776,044,070.46
2023-12-011.02311.023175,998,581.09
2023-11-241.02231.022375,941,285.17
2023-11-171.02171.021775,890,095.95
2023-11-101.0211.02175,838,640.07
2023-11-031.02031.020375,786,911.44
2023-10-271.01951.019575,728,175.09
2023-10-201.0191.01975,694,564.37
2023-10-131.01841.018475,645,756.85
2023-10-071.01791.017975,607,723.78
2023-09-301.01731.017375,563,834.67
2023-09-281.01711.017175,552,903.92
2023-09-221.01661.016675,515,732
2023-09-151.01591.015975,462,342.39
2023-09-081.01521.015275,408,454.95
2023-09-011.01471.014775,371,177.65
2023-08-251.0141.01475,320,458.2
2023-08-181.01321.013275,260,659.51
2023-08-111.01241.012475,202,807.53
2023-08-041.01161.011675,143,717.2
2023-07-281.01081.010875,083,190.78
2023-07-211.01011.010175,033,829.97
2023-07-141.00931.009374,971,979.94
2023-07-071.00841.008474,909,284
2023-06-301.00771.007774,852,003.25
2023-06-251.00721.007274,818,163.2
2023-06-161.00641.006474,755,601.55
2023-06-091.00551.005574,691,464.91
2023-06-021.00471.004774,629,658.68
2023-05-261.00381.003874,566,253.53
2023-05-191.00311.003174,513,515.75
2023-05-121.00231.002374,452,546.93
2023-05-051.00131.001374,377,050.15
2023-04-281.00051.000574,316,761.85
2023-04-211.00031.000374,301,834.36
2023-04-141.00021.000274,299,089.93
2023-04-070.99990.999974,271,127.18
2023-04-0211-


【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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