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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21期人民币理财产品净值公告
发布日期:2024-04-23

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21期人民币理财产品(产品代码:2301OR0021)于2023-03-21成立,截至2024-04-22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)
2024-04-221.03981.0398106,948,670.29
2024-04-151.03911.0391106,868,416.92
2024-04-081.03811.0381106,772,114.79
2024-04-011.03741.0374106,692,428.43
2024-03-311.03681.0368106,642,888.06
2024-03-291.03661.0366106,621,439.14
2024-03-251.03631.0363106,589,693.72
2024-03-181.03551.0355106,514,609.23
2024-03-111.03511.0351106,473,466.57
2024-03-041.03441.0344106,394,618.63
2024-02-261.03321.0332106,276,617.58
2024-02-191.03241.0324106,194,964.93
2024-02-181.03231.0323106,182,331.52
2024-02-051.03091.0309106,042,041.15
2024-01-291.02971.0297105,912,669.1
2024-01-221.02891.0289105,836,774.74
2024-01-151.02811.0281105,748,413.49
2024-01-081.02731.0273105,663,993.34
2024-01-021.02661.0266105,597,563.67
2023-12-311.02611.0261105,541,475.74
2023-12-291.02591.0259105,527,027.38
2023-12-251.02641.0264105,578,548.75
2023-12-181.02581.0258105,514,616.85
2023-12-111.0251.025105,430,648.6
2023-12-041.02451.0245105,375,705.37
2023-11-271.02371.0237105,297,234.66
2023-11-201.02311.0231105,232,634.23
2023-11-131.02231.0223105,151,626.11
2023-11-061.02141.0214105,064,843.88
2023-10-301.02051.0205104,967,191.79
2023-10-231.02011.0201104,928,468.46
2023-10-161.01961.0196104,873,627.79
2023-10-091.0191.019104,809,997.62
2023-10-071.01881.0188104,796,728.95
2023-09-301.01831.0183104,743,101.57
2023-09-281.01821.0182104,730,628.54
2023-09-251.0181.018104,715,675.94
2023-09-181.01721.0172104,631,699.24
2023-09-111.01631.0163104,542,041.29
2023-09-041.0161.016104,504,734.13
2023-08-281.01551.0155104,456,604.48
2023-08-211.01461.0146104,366,498.89
2023-08-141.01371.0137104,269,312.72
2023-08-071.01271.0127104,169,277.57
2023-07-311.01171.0117104,059,348.06
2023-07-241.0111.011103,991,995.09
2023-07-171.01011.0101103,902,680.67
2023-07-101.00921.0092103,803,645.62
2023-07-031.00821.0082103,707,684.06
2023-06-261.00761.0076103,642,504.68
2023-06-191.0071.007103,581,903.17
2023-06-121.00621.0062103,502,689.23
2023-06-051.00551.0055103,423,630.3
2023-05-291.00471.0047103,344,632.74
2023-05-221.0041.004103,271,203.88
2023-05-151.00321.0032103,191,986.68
2023-05-081.00241.0024103,105,267.78
2023-05-041.00191.0019103,052,875.65
2023-04-241.00181.0018103,042,733.54
2023-04-171.00131.0013102,996,193.87
2023-04-101.00081.0008102,941,192.68
2023-04-031.00051.0005102,917,188.3
2023-03-271.00021.0002102,881,916.28
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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