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邮银财富·鸿博一年定开3号(FOF平衡策略指数)人民币理财产品净值公告
发布日期:2024-08-13

尊敬的投资者:

我公司发行的邮银财富·鸿博一年定开3号(FOF平衡策略指数)人民币理财产品(产品代码:2101BA0003)于2021-08-02成立,截至2024-08-12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) 认(申)购价格(元)/赎回价格(元)
2024-08-121.0821.082-
2024-08-091.0821.082-
2024-08-021.08441.0844-
2024-07-261.08171.0817-
2024-07-191.08661.0866-
2024-07-121.08541.0854-
2024-07-051.08291.0829-
2024-06-301.08181.0818--
2024-06-281.08171.0817-
2024-06-211.08041.0804-
2024-06-141.08231.0823-
2024-06-071.08661.0866-
2024-05-311.08641.0864-
2024-05-241.08621.0862-
2024-05-171.08831.0883-
2024-05-101.08571.0857-
2024-05-061.08371.0837-
2024-04-261.07781.0778-
2024-04-191.08151.0815-
2024-04-121.0721.072-
2024-04-071.0731.073-
2024-03-311.06811.0681--
2024-03-291.0681.068-
2024-03-221.06081.0608-
2024-03-151.06461.0646-
2024-03-081.06581.0658-
2024-03-011.0611.061-
2024-02-231.0591.059-
2024-02-181.0521.052-
2024-02-091.05211.0521-
2024-02-021.03311.0331-
2024-01-261.0441.044-
2024-01-191.03291.0329-
2024-01-121.03831.0383-
2024-01-051.03861.0386-
2023-12-311.03291.0329-
2023-12-291.03291.0329-
2023-12-221.0281.028-
2023-12-151.02851.0285-
2023-12-081.0281.028-
2023-12-011.03191.0319-
2023-11-241.0321.032-
2023-11-171.03051.0305-
2023-11-101.02951.0295-
2023-11-031.03061.0306-
2023-10-271.03281.0328-
2023-10-201.02771.0277-
2023-10-131.03641.0364-
2023-10-071.03961.0396-
2023-09-301.03971.0397--
2023-09-281.03971.0397-
2023-09-221.04131.0413-
2023-09-151.04081.0408-
2023-09-081.03561.0356-
2023-09-011.03971.0397-
2023-08-251.03681.0368-
2023-08-181.04041.0404-
2023-08-111.04071.04071.0407
2023-08-041.04131.0413-
2023-08-011.04131.0413-
2023-07-281.041.04-
2023-07-211.03681.0368-
2023-07-141.03731.0373-
2023-07-071.03481.0348-
2023-06-301.03371.0337-
2023-06-251.03071.0307-
2023-06-161.03411.0341-
2023-06-091.03141.0314-
2023-06-021.0321.032-
2023-05-261.03111.0311-
2023-05-191.03321.0332-
2023-05-121.03341.0334-
2023-05-051.03321.0332-
2023-04-281.031.03-
2023-04-211.02631.0263-
2023-04-141.02811.0281-
2023-04-071.02711.0271-
2023-03-311.02471.0247-
2023-03-241.02381.0238-
2023-03-171.02041.0204-
2023-03-101.02091.0209-
2023-03-031.02241.0224-
2023-02-241.0221.022-
2023-02-171.02211.0221-
2023-01-311.01741.0174-
2022-12-311.00721.0072--
2022-12-301.0071.007-
2022-11-301.01221.0122-
2022-10-311.01231.0123-
2022-09-301.01391.0139-
2022-08-311.02291.0229-
2022-08-111.02511.02511.0251
2022-07-311.02471.0247--
2022-07-251.02391.0239-
2022-06-301.0221.022-
2022-05-311.01671.0167-
2022-04-301.01061.0106--
2022-03-311.01121.0112-
2022-02-281.01541.0154-
2022-01-311.01381.0138--
2021-12-311.01731.0173-
2021-11-301.01321.0132-
2021-10-311.00561.0056--
2021-09-301.00471.0047-
2021-08-311.0031.003-
2021-08-0111--

备注:认(申)购价格和赎回价格即为产品份额净值。


【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。

我公司将恪守勤勉尽责的原则,合理配置资产组合,为客户提供专业化的理财服务。客户应密切关注邮储银行官网与本产品有关的信息披露,以免造成不必要的损失。

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