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邮银财富·鸿元两年定开23号(定增优选)人民币理财产品净值公告
发布日期:2024-09-25

尊敬的投资者:

我公司发行的邮银财富·鸿元两年定开23号(定增优选)人民币理财产品(产品代码:2101AL0023)于2021-04-12成立,截至2024-09-20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)
2024-09-201.03331.0333-
2024-09-131.03281.0328-
2024-09-061.03831.0383-
2024-08-301.04391.0439-
2024-08-231.04191.0419-
2024-08-161.0461.046-
2024-08-091.04871.0487-
2024-08-021.05211.0521-
2024-07-261.05161.0516-
2024-07-191.05931.0593-
2024-07-121.05791.0579-
2024-07-051.05371.0537-
2024-06-301.05471.0547--
2024-06-281.05471.0547-
2024-06-211.05851.0585-
2024-06-141.06091.0609-
2024-06-071.05971.0597-
2024-05-311.06061.0606-
2024-05-241.06191.0619-
2024-05-171.06841.0684-
2024-05-101.06621.0662-
2024-05-061.0661.066-
2024-04-261.05891.0589-
2024-04-191.05471.0547-
2024-04-121.05061.0506-
2024-04-071.05381.0538-
2024-03-311.05061.0506--
2024-03-291.05061.0506-
2024-03-221.05071.0507-
2024-03-151.05151.0515-
2024-03-081.04951.0495-
2024-03-011.0511.051-
2024-02-231.04721.0472-
2024-02-181.03981.0398-
2024-02-091.03981.0398-
2024-02-021.02271.0227-
2024-01-261.03381.0338-
2024-01-191.03251.0325-
2024-01-121.03541.0354-
2024-01-051.03851.0385-
2023-12-311.0431.043-
2023-12-291.04291.0429-
2023-12-221.03681.0368-
2023-12-151.03951.0395-
2023-12-081.04081.0408-
2023-12-011.04531.0453-
2023-11-241.04771.0477-
2023-11-171.04991.0499-
2023-11-101.05041.0504-
2023-11-031.05011.0501-
2023-10-271.04731.0473-
2023-10-201.04291.0429-
2023-10-131.05281.0528-
2023-10-071.05431.0543-
2023-09-301.05381.0538--
2023-09-281.05381.0538-
2023-09-221.05471.0547-
2023-09-151.05451.0545-
2023-09-081.05381.0538-
2023-09-011.05691.0569-
2023-08-251.05491.0549-
2023-08-181.05811.0581-
2023-08-111.05871.0587-
2023-08-041.0641.064-
2023-07-281.06471.0647-
2023-07-211.06541.0654-
2023-07-141.07321.0732-
2023-07-071.07311.0731-
2023-06-301.06891.0689-
2023-06-251.06361.0636-
2023-06-161.06721.0672-
2023-06-091.05731.0573-
2023-06-021.0661.066-
2023-05-261.06921.0692-
2023-05-191.06761.0676-
2023-05-121.06691.0669-
2023-05-051.06511.0651-
2023-04-281.06971.0697-
2023-04-211.07121.0712-
2023-04-141.07381.0738-
2023-04-121.07361.07361.0736
2023-04-071.07361.0736-
2023-03-311.07341.0734-
2023-03-241.07311.0731-
2023-03-231.07311.0731-
2023-03-171.07231.0723-
2023-03-101.07291.0729-
2023-03-031.07231.0723-
2023-02-241.07341.0734-
2023-02-171.07281.0728-
2023-01-311.07051.0705-
2022-12-311.05331.0533--
2022-12-301.05321.0532-
2022-11-301.0631.063-
2022-10-311.05421.0542-
2022-09-301.0581.058-
2022-08-311.07491.0749-
2022-07-311.08361.0836--
2022-06-301.06791.0679-
2022-05-311.04721.0472-
2022-04-301.02921.0292--
2022-03-311.03911.0391-
2022-02-281.04651.0465-
2022-01-311.04391.0439--
2021-12-311.05151.0515-
2021-11-301.04051.0405-
2021-10-311.02431.0243--
2021-09-301.01521.0152-
2021-08-311.01411.0141-
2021-07-311.00931.0093--
2021-06-301.00591.0059-
2021-05-311.00341.0034-
2021-04-301.0011.001-
2021-04-1111--

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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