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邮银财富·债券2018年第406期(双周定开成长净值型)人民币理财产品净值公告
发布日期:2024-09-12

尊敬的投资者:

我公司发行的邮银财富·债券2018年第406期(双周定开成长净值型)人民币理财产品(产品代码:1801ZQ0406)于2018-06-27成立,截至2024-09-11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)
2024-09-111.24921.24921.2492
2024-09-041.24861.2486-
2024-08-281.24721.24721.2472
2024-08-211.24831.2483-
2024-08-141.24851.24851.2485
2024-08-071.24931.2493-
2024-07-311.24821.24821.2482
2024-07-241.24671.2467-
2024-07-171.24581.24581.2458
2024-07-101.24481.2448-
2024-07-031.24421.24421.2442
2024-06-301.24381.2438--
2024-06-281.24371.2437-
2024-06-261.24331.2433-
2024-06-191.24251.24251.2425
2024-06-121.24151.2415-
2024-06-051.24071.24071.2407
2024-05-291.23961.2396-
2024-05-221.23851.23851.2385
2024-05-151.23781.2378-
2024-05-081.23691.23691.2369
2024-05-061.23621.2362-
2024-04-241.23631.23631.2363
2024-04-171.2351.235-
2024-04-101.23351.23351.2335
2024-04-031.23231.2323-
2024-03-311.23171.2317--
2024-03-291.23161.2316-
2024-03-271.23131.23131.2313
2024-03-201.23061.2306-
2024-03-131.231.231.23
2024-03-061.23011.2301-
2024-02-281.22941.22941.2294
2024-02-211.2281.228-
2024-02-181.22741.2274-
2024-02-071.22651.2265-
2024-01-311.22561.22561.2256
2024-01-241.22431.2243-
2024-01-171.22341.22341.2234
2024-01-101.22281.2228-
2024-01-031.2221.2221.222
2023-12-311.22191.2219-
2023-12-291.22181.2218-
2023-12-271.22121.2212-
2023-12-201.22061.22061.2206
2023-12-131.21981.2198-
2023-12-061.21991.21991.2199
2023-11-291.21961.2196-
2023-11-221.221.221.22
2023-11-151.21991.2199-
2023-11-081.21931.21931.2193
2023-11-011.21951.2195-
2023-10-251.21941.21941.2194
2023-10-181.22111.2211-
2023-10-111.22131.22131.2213
2023-10-071.22121.2212-
2023-09-301.22051.2205--
2023-09-281.22041.2204-
2023-09-271.22011.22011.2201
2023-09-201.221.22-
2023-09-131.21981.21981.2198
2023-09-061.221.22-
2023-08-301.22051.22051.2205
2023-08-231.22061.2206-
2023-08-161.22031.22031.2203
2023-08-091.21961.2196-
2023-08-021.21871.21871.2187
2023-07-261.21821.2182-
2023-07-191.21841.21841.2184
2023-07-121.21781.2178-
2023-07-051.21691.21691.2169
2023-06-301.21631.2163-
2023-06-281.21581.2158-
2023-06-211.21531.21531.2153
2023-06-141.21551.2155-
2023-06-071.21461.21461.2146
2023-05-311.21371.2137-
2023-05-241.21321.21321.2132
2023-05-171.21251.2125-
2023-05-101.21191.21191.2119
2023-05-041.2111.211-
2023-04-261.20981.20981.2098
2023-04-191.20891.2089-
2023-04-121.20791.20791.2079
2023-04-061.20681.2068-
2023-03-311.20621.2062-
2023-03-291.20581.20581.2058
2023-03-221.20541.2054-
2023-03-171.20471.2047-
2023-03-151.20431.20431.2043
2023-03-101.20371.2037-
2023-03-081.20321.2032-
2023-03-031.20181.2018-
2023-03-011.20211.20211.2021
2023-02-241.20171.2017-
2023-02-221.20131.2013-
2023-02-171.20131.2013-
2023-02-151.20031.20031.2003
2023-02-011.19631.19631.1963
2023-01-311.19611.1961-
2023-01-181.19441.19441.1944
2023-01-041.19411.19411.1941
2022-12-311.19281.1928--
2022-12-301.19271.1927-
2022-12-211.19041.19041.1904
2022-12-071.19241.19241.1924
2022-11-231.19371.19371.1937
2022-11-091.19991.19991.1999
2022-10-311.20321.2032-
2022-10-261.20321.20321.2032
2022-10-121.20271.20271.2027
2022-09-301.20131.2013-
2022-09-281.20171.20171.2017
2022-09-141.20191.20191.2019
2022-08-311.20071.20071.2007
2022-08-171.20061.20061.2006
2022-08-031.21.21.2
2022-07-201.1971.1971.197
2022-07-061.19421.19421.1942
2022-06-301.19441.1944-
2022-06-221.19371.19371.1937
2022-06-081.19221.19221.1922
2022-05-251.19241.19241.1924
2022-05-111.19011.19011.1901
2022-04-271.18831.18831.1883
2022-04-131.18641.18641.1864
2022-03-311.18481.1848-
2022-03-301.18461.18461.1846
2022-03-161.18341.18341.1834
2022-03-021.18361.18361.1836
2022-02-161.18351.18351.1835
2022-01-191.18131.18131.1813
2022-01-051.17871.17871.1787
2021-12-311.17811.1781-
2021-12-221.17621.17621.1762
2021-12-081.17531.17531.1753
2021-11-241.17391.17391.1739
2021-11-101.17261.17261.1726
2021-10-271.17081.17081.1708
2021-10-131.16921.16921.1692
2021-09-301.16831.1683-
2021-09-291.16841.16841.1684
2021-09-151.16811.16811.1681
2021-09-011.1671.1671.167
2021-08-181.1661.1661.166
2021-08-041.1651.1651.165
2021-07-211.16311.16311.1631
2021-07-071.15921.15921.1592
2021-06-301.15781.1578-
2021-06-231.15651.15651.1565
2021-06-091.15551.15551.1555
2021-05-261.15461.15461.1546
2021-05-121.15211.15211.1521
2021-04-281.14961.14961.1496
2021-04-141.14731.14731.1473
2021-03-311.1451.1451.145
2021-03-171.14281.14281.1428
2021-03-031.14061.14061.1406
2021-02-031.13751.13751.1375
2021-01-201.13771.13771.1377
2021-01-061.13581.13581.1358
2020-12-231.13331.13331.1333
2020-12-091.13061.13061.1306
2020-11-251.12771.12771.1277
2020-11-111.12971.12971.1297
2020-10-281.12871.12871.1287
2020-10-141.12681.12681.1268
2020-09-291.12541.12541.1254
2020-09-161.12451.12451.1245
2020-09-021.12321.12321.1232
2020-08-191.12361.12361.1236
2020-08-051.12151.12151.1215
2020-07-221.11991.11991.1199
2020-07-081.12031.12031.1203
2020-06-241.121.121.12
2020-06-101.11971.11971.1197
2020-05-271.12271.12271.1227
2020-05-131.12311.12311.1231
2020-04-291.12311.12311.1231
2020-04-151.12111.12111.1211
2020-04-011.1161.1161.116
2020-03-181.11331.11331.1133
2020-03-041.11141.11141.1114
2020-02-191.10841.10841.1084
2020-02-051.10551.10551.1055
2020-01-221.10271.10271.1027
2020-01-081.1011.1011.101
2019-12-251.0981.0981.098
2019-12-111.09521.09521.0952
2019-11-271.09341.09341.0934
2019-11-131.09041.09041.0904
2019-10-301.0891.0891.089
2019-10-161.0881.0881.088
2019-10-091.08751.08751.0875
2019-09-181.08541.08541.0854
2019-09-041.0831.0831.083
2019-08-211.0821.0821.082
2019-08-071.07981.07981.0798
2019-07-241.07651.07651.0765
2019-07-101.07421.07421.0742
2019-06-261.0721.0721.072
2019-06-121.07051.07051.0705
2019-05-291.06891.06891.0689
2019-05-151.06721.06721.0672
2019-05-081.06471.06471.0647
2019-04-171.06111.06111.0611
2019-04-031.06191.06191.0619
2019-03-201.05971.05971.0597
2019-03-061.05821.05821.0582
2019-02-201.05881.05881.0588
2019-02-131.05731.05731.0573
2019-01-231.05371.05371.0537
2019-01-091.05071.05071.0507
2018-12-261.04411.04411.0441
2018-12-121.04381.04381.0438
2018-11-281.03961.03961.0396
2018-11-141.03641.03641.0364
2018-10-311.0331.0331.033
2018-10-171.03031.03031.0303
2018-10-101.02911.02911.0291
2018-09-191.02661.02661.0266
2018-09-051.02351.02351.0235
2018-08-221.02021.02021.0202
2018-08-081.01991.01991.0199
2018-07-251.01191.01191.0119
2018-07-111.00631.00631.0063
2018-06-2611-

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。

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