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净值公告-公募封闭式

邮银财富·鸿元封闭式2022年第3期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·鸿元封闭式2022年第3期人民币理财产品(产品代码:2201AE0003)于2022-04-08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)
2024-06-211.01671.0367117,167,429.68
2024-06-141.01641.0364117,129,995.58
2024-06-071.01591.0359117,079,295.21
2024-05-311.01551.0355117,024,946.18
2024-05-241.01511.0351116,977,491.6
2024-05-171.01451.0345116,918,573.46
2024-05-101.0141.034116,854,946.33
2024-05-061.01361.0336116,806,899.31
2024-04-261.01321.0332116,762,311.23
2024-04-191.01291.0329116,733,017.91
2024-04-151.01241.0324116,674,162.08
2024-04-121.02211.0321117,793,506.29
2024-04-081.02141.0314117,714,387.29
2024-04-071.02131.0313117,702,243.64
2024-03-311.02051.0305117,610,718.98
2024-03-291.02051.0305117,608,288.53
2024-03-221.021.03117,542,484.87
2024-03-151.01931.0293117,467,632.14
2024-03-081.01911.0291117,447,296.91
2024-03-011.01871.0287117,395,214.79
2024-02-231.01841.0284117,364,439.97
2024-02-181.01411.0241116,872,353.83
2024-02-091.01371.0237116,826,194.4
2024-02-021.00441.0144115,746,736.93
2024-01-261.00711.0171116,056,816.35
2024-01-191.00541.0154115,859,352.48
2024-01-121.00591.0159115,922,278.33
2024-01-051.00641.0164115,983,974.81
2023-12-311.00671.0167116,009,427.31
2023-12-291.00651.0165115,996,155.19
2023-12-221.00221.0122115,492,545.69
2023-12-151.00291.0129115,580,722.82
2023-12-081.00261.0126115,537,368.77
2023-12-011.00531.0153115,848,570.93
2023-11-241.00721.0172116,069,158.41
2023-11-171.00761.0176116,115,012.47
2023-11-101.00821.0182116,188,824.13
2023-11-031.00881.0188116,258,407.28
2023-10-271.00671.0167116,010,340.36
2023-10-201.00381.0138115,676,908.79
2023-10-131.00941.0194116,321,030.05
2023-10-071.01091.0209116,501,870.28
2023-09-301.01031.0203116,433,773.92
2023-09-281.01031.0203116,428,978.69
2023-09-221.01121.0212116,559,617.19
2023-09-151.01071.0207116,505,886.34
2023-09-081.00961.0196116,377,932.36
2023-09-011.01431.0243116,917,217.21
2023-08-251.01131.0213116,571,754.31
2023-08-181.0171.027117,230,916.09
2023-08-111.01761.0276117,304,949.87
2023-08-041.02151.0315117,747,959.94
2023-07-281.02321.0332117,941,671.55
2023-07-211.01791.0279117,337,861.85
2023-07-141.01781.0278117,326,525.01
2023-07-071.01141.0214116,591,408.78
2023-06-301.01081.0208116,513,202.37
2023-06-251.00461.0146115,807,906.55
2023-06-161.01041.0204116,467,881.14
2023-06-091.00111.0111115,401,942.33
2023-06-021.00521.0152115,871,717.16
2023-05-261.00421.0142115,754,687.56
2023-05-191.00621.0162115,986,208.06
2023-05-121.00541.0154115,891,238.69
2023-05-051.00661.0166116,032,026.96
2023-04-281.00751.0175116,133,841.3
2023-04-211.00941.0194116,356,595.05
2023-04-141.01221.0222116,679,032.61
2023-04-111.01251.0225116,717,908.84
2023-04-071.02361.0236117,987,715.6
2023-03-311.02281.0228117,896,562.61
2023-03-241.02041.0204117,622,528.67
2023-03-171.02051.0205117,635,386.72
2023-03-101.02261.0226117,878,506.55
2023-03-031.02921.0292118,638,191.02
2023-02-241.02621.0262118,295,396.46
2023-02-171.0231.023117,921,549.35
2023-02-101.021.02117,573,423.06
2023-02-031.01991.0199117,566,412.21
2023-01-281.01121.0112116,565,823.98
2023-01-201.01081.0108116,522,594.69
2023-01-131.00451.0045115,789,248.35
2023-01-061.00421.0042115,759,771.4
2022-12-311.00181.0018115,481,542.56
2022-12-301.00181.0018115,475,875.55
2022-12-230.99990.9999115,264,307.43
2022-12-160.99830.9983115,077,105.07
2022-12-091.00071.0007115,353,193.41
2022-12-021.0061.006115,965,908.54
2022-11-251.00911.0091116,322,790.78
2022-11-181.01421.0142116,903,753.77
2022-11-111.01971.0197117,548,581.86
2022-11-041.02561.0256118,220,902.82
2022-10-281.0251.025118,158,844.39
2022-10-211.02631.0263118,302,130.21
2022-10-141.02651.0265118,329,221.65
2022-09-301.02171.0217117,770,014.3
2022-09-231.02711.0271118,399,888.06
2022-09-161.02681.0268118,364,150.91
2022-09-091.02661.0266118,343,268.57
2022-09-021.02581.0258118,243,274.58
2022-08-261.02341.0234117,966,474.4
2022-08-191.02291.0229117,907,185.23
2022-08-121.0211.021117,695,425.28
2022-08-051.02141.0214117,736,872.97
2022-07-291.01921.0192117,491,494.57
2022-07-221.01731.0173117,270,395.13
2022-07-151.01661.0166117,188,952.02
2022-07-081.01631.0163117,156,337.74
2022-07-011.01631.0163117,156,588.64
2022-06-301.01611.0161117,128,964.58
2022-06-241.01581.0158117,089,742.51
2022-06-171.01541.0154117,049,344.6
2022-06-101.01451.0145116,946,670.46
2022-06-031.01251.0125116,713,209.84
2022-05-271.01241.0124116,699,038.88
2022-05-201.01151.0115116,600,233.11
2022-05-131.00851.0085116,251,316.03
2022-05-061.00561.0056115,913,793.16
2022-04-291.00491.0049115,835,120.87
2022-04-221.00111.0011115,402,521.63
2022-04-151.00031.0003115,310,095.8
2022-04-0711-


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