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净值公告-公募封闭式

邮银财富·鸿锦封闭式2023年第23期(安盈款)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·鸿锦封闭式2023年第23期(安盈款)人民币理财产品(产品代码:2301HJ0023)于2023-08-29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) 产品资产净值(元)
2024-09-111.0361.036172,080,800.57
2024-09-101.03591.0359172,062,352.28
2024-09-031.03541.0354171,988,216.92
2024-08-271.03541.0354171,979,414.63
2024-08-201.03591.0359172,064,437.45
2024-08-131.03531.0353171,962,777.53
2024-08-061.03491.0349171,908,181.6
2024-07-301.0341.034171,753,524.63
2024-07-231.03311.0331171,596,843.6
2024-07-161.03231.0323171,475,718.92
2024-07-091.03151.0315171,347,121.67
2024-07-021.03081.0308171,216,489.33
2024-06-251.03011.0301171,108,620.36
2024-06-181.02941.0294170,986,787.13
2024-06-111.02851.0285170,847,159.41
2024-06-041.02771.0277170,709,215.38
2024-05-281.02691.0269170,568,876.16
2024-05-211.02611.0261170,437,413.55
2024-05-141.02531.0253170,309,606.93
2024-05-071.02451.0245170,172,869.01
2024-04-301.02361.0236170,030,967.14
2024-04-231.02331.0233169,969,995.08
2024-04-161.02221.0222169,800,068.79
2024-04-091.02131.0213169,647,084.71
2024-04-021.02041.0204169,503,116.61
2024-03-311.01991.0199169,404,157.13
2024-03-291.01981.0198169,395,994.09
2024-03-261.01941.0194169,322,054.69
2024-03-191.01851.0185169,173,136.88
2024-03-121.01781.0178169,057,205.24
2024-03-051.01711.0171168,938,911.73
2024-02-271.01631.0163168,807,799.34
2024-02-201.01521.0152168,637,196.13
2024-02-181.01481.0148168,561,796.02
2024-02-061.01381.0138168,404,095.07
2024-01-301.01291.0129168,256,634.49
2024-01-231.0121.012168,104,336
2024-01-161.01111.0111167,951,674.41
2024-01-091.01041.0104167,829,074.74
2024-01-021.00971.0097167,712,213.83
2023-12-311.00941.0094167,670,416.75
2023-12-291.00921.0092167,629,186.25
2023-12-261.00891.0089167,587,904.29
2023-12-191.00831.0083167,479,555.44
2023-12-121.00771.0077167,378,205.59
2023-12-051.00711.0071167,287,774.94
2023-11-281.00661.0066167,202,176.17
2023-11-211.00621.0062167,132,283.21
2023-11-141.00551.0055167,018,610.31
2023-11-071.00471.0047166,879,480.97
2023-10-311.00371.0037166,713,844.36
2023-10-241.00261.0026166,544,656.81
2023-10-171.0021.002166,443,638
2023-10-101.00141.0014166,331,427.69
2023-10-071.00061.0006166,200,940.08
2023-09-301.00011.0001166,124,875.82
2023-09-281.00011.0001166,122,964.75
2023-09-260.99990.9999166,082,711.18
2023-09-190.99960.9996166,033,755.69
2023-09-120.99950.9995166,020,978.94
2023-09-0511166,104,577.95
2023-09-0411166,102,343.65
2023-08-2811-


【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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