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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5期A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鑫投·鸿运封闭式2023年第5期A人民币理财产品(产品代码:2301OR005A)于2023-02-07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)
2024-04-191.05051.0505107,866,971.71
2024-04-121.04951.0495107,764,645.07
2024-04-071.04871.0487107,682,762.2
2024-03-311.04751.0475107,557,388.48
2024-03-291.04731.0473107,533,169.75
2024-03-221.04651.0465107,452,783.74
2024-03-151.04571.0457107,369,121.87
2024-03-081.0451.045107,304,084.54
2024-03-011.04411.0441107,211,633.68
2024-02-231.04311.0431107,101,384.73
2024-02-181.04231.0423107,019,585.95
2024-02-091.04121.0412106,909,441.01
2024-02-021.04031.0403106,822,556.29
2024-01-261.03911.0391106,693,264.45
2024-01-191.03811.0381106,591,396.42
2024-01-121.0371.037106,484,857.75
2024-01-051.0361.036106,380,364.31
2023-12-311.03531.0353106,301,733.99
2023-12-291.03511.0351106,282,009.95
2023-12-221.03491.0349106,260,295.82
2023-12-151.0341.034106,174,158.2
2023-12-081.0331.033106,074,159.09
2023-12-011.03231.0323105,994,237.25
2023-11-241.03141.0314105,905,415.47
2023-11-171.03061.0306105,826,232.01
2023-11-101.02991.0299105,746,134.66
2023-11-031.0291.029105,661,633.45
2023-10-271.02821.0282105,580,695.01
2023-10-201.02771.0277105,529,942.47
2023-10-131.0271.027105,450,147.08
2023-10-071.02631.0263105,379,751.13
2023-09-301.02561.0256105,307,288.54
2023-09-281.02541.0254105,285,197.21
2023-09-221.02481.0248105,226,415.7
2023-09-151.0241.024105,144,460.98
2023-09-081.02311.0231105,055,650.35
2023-09-011.02251.0225104,995,615.21
2023-08-251.02181.0218104,914,072.93
2023-08-181.02091.0209104,822,449.46
2023-08-111.021.02104,733,366.9
2023-08-041.01911.0191104,637,569.04
2023-07-281.01821.0182104,549,724.74
2023-07-211.01751.0175104,478,777.6
2023-07-141.01671.0167104,395,123.98
2023-07-071.01581.0158104,302,493.21
2023-06-301.01491.0149104,213,233.31
2023-06-251.01441.0144104,156,786.13
2023-06-161.01341.0134104,055,023.22
2023-06-091.01251.0125103,962,178.13
2023-06-021.01161.0116103,872,059.99
2023-05-261.01071.0107103,777,393.75
2023-05-191.00991.0099103,693,726.59
2023-05-121.00891.0089103,596,228.44
2023-05-051.00811.0081103,509,569.78
2023-04-281.00721.0072103,423,521.03
2023-04-211.00671.0067103,367,626.86
2023-04-141.00591.0059103,288,696.15
2023-04-071.00511.0051103,203,469.31
2023-03-311.00471.0047103,158,196.87
2023-03-241.0041.004103,091,198
2023-03-171.00321.0032103,012,415.57
2023-03-101.00261.0026102,942,840.31
2023-03-031.00171.0017102,855,514.38
2023-02-241.00091.0009102,775,641.7
2023-02-171.00041.0004102,716,902.04
2023-02-0611-


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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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