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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7期B人民币理财产品净值公告
发布日期:2024-06-24

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7期B人民币理财产品(产品代码:2301OR007B)于2023-02-14成立,截至2024-06-21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)
2024-06-211.06081.060844,911,454.41
2024-06-141.05991.059944,873,958.63
2024-06-071.0591.05944,834,178.09
2024-05-311.05781.057844,787,478.89
2024-05-241.05691.056944,746,238.47
2024-05-171.05581.055844,700,360.4
2024-05-101.05491.054944,664,236.27
2024-05-061.05431.054344,638,827.82
2024-04-261.05311.053144,587,584.93
2024-04-191.05231.052344,553,900.54
2024-04-121.05131.051344,510,253.42
2024-04-071.05041.050444,470,550.16
2024-03-311.04931.049344,425,161.52
2024-03-291.04911.049144,416,077.18
2024-03-221.04821.048244,380,783.8
2024-03-151.04731.047344,340,109.25
2024-03-081.04651.046544,306,684.74
2024-03-011.04561.045644,267,473.74
2024-02-231.04451.044544,223,879.54
2024-02-181.04361.043644,184,295.86
2024-02-091.04251.042544,135,926.94
2024-02-021.04151.041544,094,873.83
2024-01-261.04031.040344,045,042.08
2024-01-191.03921.039243,996,020.05
2024-01-121.0381.03843,947,845.08
2024-01-051.03681.036843,897,742.25
2023-12-311.03621.036243,871,052.37
2023-12-291.0361.03643,862,654.42
2023-12-221.03491.034943,816,925.57
2023-12-151.03471.034743,806,740.66
2023-12-081.03311.033143,738,476.69
2023-12-011.03231.032343,707,166.94
2023-11-241.03161.031643,674,940.4
2023-11-171.03091.030943,644,734.08
2023-11-101.031.0343,608,525.09
2023-11-031.02921.029243,573,237.86
2023-10-271.02831.028343,538,337.43
2023-10-201.02761.027643,507,944.71
2023-10-131.02691.026943,478,760.95
2023-10-071.02641.026443,455,107.95
2023-09-301.02571.025743,425,712.47
2023-09-281.02551.025543,417,419.52
2023-09-221.02491.024943,393,995.44
2023-09-151.02471.024743,384,854.44
2023-09-081.02331.023343,323,727.53
2023-09-011.02291.022943,306,680.68
2023-08-251.02221.022243,278,130.52
2023-08-181.02131.021343,240,239.19
2023-08-111.02051.020543,204,150.12
2023-08-041.01951.019543,162,188.33
2023-07-281.01851.018543,123,180.06
2023-07-211.0181.01843,098,303.42
2023-07-141.01711.017143,062,960.88
2023-07-071.01621.016243,023,403.03
2023-06-301.01531.015342,987,482.05
2023-06-251.01481.014842,965,507.47
2023-06-161.01381.013842,923,021.42
2023-06-091.0131.01342,887,208.04
2023-06-021.01221.012242,853,125.02
2023-05-261.01131.011342,814,684.41
2023-05-191.01041.010442,779,950.01
2023-05-121.00951.009542,740,539.79
2023-05-051.00851.008542,699,205.5
2023-04-281.00761.007642,660,820.75
2023-04-211.00671.006742,621,800.7
2023-04-141.00581.005842,585,080.68
2023-04-071.00491.004942,545,486.27
2023-03-311.00441.004442,525,001.47
2023-03-241.00371.003742,496,365.12
2023-03-171.00291.002942,462,027.54
2023-03-101.00221.002242,431,904.74
2023-03-031.00131.001342,394,008.25
2023-02-241.00061.000642,365,322.63
2023-02-1311-


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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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