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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15期(山东专属)A人民币理财产品净值公告
发布日期:2024-07-22

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15期(山东专属)A人民币理财产品(产品代码:2301OR015A)于2023-06-15成立,截至2024-07-19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)
2024-07-191.03151.031512,097,259.35
2024-07-171.03141.031412,096,128.38
2024-07-101.03111.031112,092,046.61
2024-07-031.03071.030712,087,534.46
2024-06-261.03031.030312,082,689.4
2024-06-191.02991.029912,078,050.79
2024-06-121.02941.029412,073,033.79
2024-06-051.02891.028912,067,039.44
2024-05-291.02841.028412,060,255.56
2024-05-221.02781.027812,053,814.05
2024-05-151.02721.027212,047,232.08
2024-05-081.02671.026712,040,858.55
2024-05-061.02641.026412,037,792.66
2024-04-241.02561.025612,027,815.84
2024-04-171.0251.02512,020,814.3
2024-04-101.02421.024212,011,737.69
2024-04-031.02361.023612,004,058.44
2024-03-311.02331.023312,000,638.22
2024-03-291.02311.023111,998,850.65
2024-03-271.0231.02311,997,637.44
2024-03-201.02251.022511,991,171.03
2024-03-131.02191.021911,984,380.69
2024-03-061.02131.021311,977,965.74
2024-02-281.02081.020811,971,346.97
2024-02-211.021.0211,961,943.11
2024-02-181.01961.019611,958,220.63
2024-02-071.01871.018711,947,133.43
2024-01-311.01811.018111,939,617.71
2024-01-241.01741.017411,931,886.32
2024-01-171.01671.016711,924,158.55
2024-01-101.01621.016211,917,442.26
2024-01-031.01551.015511,909,521.7
2023-12-311.01531.015311,906,924.53
2023-12-291.01511.015111,905,331.79
2023-12-271.01481.014811,901,207.83
2023-12-201.01421.014211,893,742.87
2023-12-131.01341.013411,884,553.12
2023-12-061.01281.012811,878,030.21
2023-11-291.01231.012311,872,140.76
2023-11-221.01181.011811,866,409.32
2023-11-151.01121.011211,859,360.47
2023-11-081.01071.010711,853,015.99
2023-11-011.01011.010111,846,026.17
2023-10-251.00951.009511,839,264.92
2023-10-181.00911.009111,834,969.75
2023-10-111.00881.008811,830,531.51
2023-10-071.00831.008311,825,687.91
2023-09-301.00781.007811,819,518.03
2023-09-281.00771.007711,817,774.34
2023-09-271.00761.007611,816,756.08
2023-09-201.00711.007111,811,601.16
2023-09-131.00671.006711,806,371.81
2023-09-061.00631.006311,801,986.11
2023-08-301.00591.005911,796,747.98
2023-08-231.00531.005311,789,743.66
2023-08-161.00471.004711,782,859.34
2023-08-091.0041.00411,774,617.2
2023-08-021.00321.003211,765,408.2
2023-07-261.00251.002511,757,602.64
2023-07-191.00191.001911,750,428.58
2023-07-121.00141.001411,743,666.78
2023-07-051.00061.000611,735,365.45
2023-06-281.00011.000111,728,639.56
2023-06-210.99970.999711,724,647.58
2023-06-1411-


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