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净值公告-公募封闭式

邮银财富安益投·鸿锦封闭式2023年第6期(安盈款)A人民币理财产品净值公告
发布日期:2024-04-25

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6期(安盈款)A人民币理财产品(产品代码:2301AY006A)于2023-02-07成立,截至2024-04-24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)
2024-04-241.04881.048826,139,513.18
2024-04-171.04811.048126,120,732.41
2024-04-101.04721.047226,099,969.56
2024-04-031.04641.046426,078,832.82
2024-03-311.0461.04626,069,821.83
2024-03-291.04581.045826,064,549.73
2024-03-271.04561.045626,059,209.06
2024-03-201.04491.044926,041,034.82
2024-03-131.04411.044126,021,973.72
2024-03-061.04341.043426,003,105.07
2024-02-281.04251.042525,982,939.77
2024-02-211.04181.041825,964,221.7
2024-02-181.04151.041525,956,753.73
2024-02-071.04031.040325,927,855.26
2024-01-311.03961.039625,908,416.57
2024-01-241.03881.038825,889,808.91
2024-01-171.03811.038125,872,479.68
2024-01-101.03751.037525,857,227.19
2024-01-031.03671.036725,837,007.54
2023-12-311.03631.036325,828,384.4
2023-12-291.03621.036225,824,280.66
2023-12-271.03591.035925,817,779.24
2023-12-201.03531.035325,802,926.6
2023-12-131.03451.034525,782,673.35
2023-12-061.03381.033825,766,025.73
2023-11-291.03311.033125,747,433.84
2023-11-221.03241.032425,730,728.66
2023-11-151.03151.031525,708,184.57
2023-11-081.03071.030725,687,473.34
2023-11-011.02991.029925,666,553.76
2023-10-251.0291.02925,645,859.86
2023-10-181.02851.028525,632,708.77
2023-10-111.02791.027925,618,540.43
2023-10-071.02751.027525,606,674.48
2023-09-301.02681.026825,591,376.04
2023-09-281.02671.026725,587,286.01
2023-09-271.02661.026625,585,626.17
2023-09-201.02591.025925,568,647.1
2023-09-131.02511.025125,548,019.23
2023-09-061.02451.024525,533,799.38
2023-08-301.02391.023925,517,385.02
2023-08-231.02321.023225,499,957.13
2023-08-161.02231.022325,477,684.08
2023-08-091.02131.021325,453,614.12
2023-08-021.02031.020325,427,479.2
2023-07-261.01951.019525,408,012.51
2023-07-191.01891.018925,392,437.81
2023-07-121.01791.017925,368,472.3
2023-07-051.0171.01725,345,474.54
2023-06-301.01641.016425,331,410.92
2023-06-281.01621.016225,326,435.08
2023-06-211.01551.015525,309,639.04
2023-06-141.0151.01525,296,343.42
2023-06-071.01481.014825,291,357.02
2023-05-311.0141.01425,270,636.64
2023-05-241.01321.013225,251,851.46
2023-05-171.01231.012325,229,132.99
2023-05-101.01131.011325,204,633.17
2023-05-041.01051.010525,185,160.37
2023-04-261.00941.009425,155,639.4
2023-04-191.00881.008825,140,938.63
2023-04-121.00781.007825,117,368.79
2023-04-061.00691.006925,094,496.35
2023-03-291.00641.006425,080,938.06
2023-03-221.00571.005725,063,858.72
2023-03-151.00441.004425,033,068.84
2023-03-081.00311.003124,999,804.46
2023-03-011.00191.001924,970,929.7
2023-02-221.00111.001124,950,132.91
2023-02-151.00021.000224,928,368.95
2023-02-0611-


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