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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41期人民币理财产品净值公告
发布日期:2024-10-17

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41期人民币理财产品(产品代码:2301OR0041)于2023-09-12成立,截至2024-10-16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)
2024-10-161.03831.0383707,612,719.77
2024-10-141.03821.0382707,535,682.49
2024-10-081.03771.0377707,256,672.51
2024-09-231.03671.0367706,551,398.56
2024-09-181.03631.0363706,298,705.7
2024-09-091.03561.0356705,783,460.43
2024-09-021.0351.035705,379,110.27
2024-08-261.03441.0344704,974,479.56
2024-08-191.03381.0338704,575,895.59
2024-08-121.03311.0331704,115,941.65
2024-08-051.03251.0325703,687,665.79
2024-07-291.03191.0319703,241,086.51
2024-07-221.03111.0311702,748,341.88
2024-07-151.03051.0305702,290,128.49
2024-07-081.02981.0298701,808,222.49
2024-07-011.0291.029701,292,283.87
2024-06-241.02831.0283700,834,887.15
2024-06-171.02761.0276700,365,408.58
2024-06-111.0271.027699,933,186.44
2024-06-031.02621.0262699,383,163.73
2024-05-271.02541.0254698,877,028.82
2024-05-201.02471.0247698,381,985.3
2024-05-131.0241.024697,884,575.96
2024-05-061.02321.0232697,373,115.36
2024-04-291.02251.0225696,854,867.18
2024-04-221.02181.0218696,384,644.66
2024-04-151.0211.021695,838,446.69
2024-04-081.02011.0201695,261,273.12
2024-04-011.01941.0194694,798,968.55
2024-03-311.01931.0193694,725,820.15
2024-03-291.01911.0191694,586,253.42
2024-03-251.01871.0187694,301,681.92
2024-03-181.01791.0179693,784,448.47
2024-03-111.01711.0171693,242,018.3
2024-03-041.01631.0163692,673,203.28
2024-02-261.01551.0155692,130,640.23
2024-02-191.01471.0147691,592,362.71
2024-02-181.01461.0146691,524,735.87
2024-02-051.01321.0132690,554,336.09
2024-01-291.01231.0123689,960,951.87
2024-01-221.01151.0115689,407,928.13
2024-01-151.01071.0107688,876,918.83
2024-01-081.00981.0098688,278,313.36
2024-01-021.00921.0092687,823,299.86
2023-12-311.00891.0089687,651,715.52
2023-12-291.00871.0087687,534,369.38
2023-12-251.00841.0084687,307,704.38
2023-12-181.00781.0078686,891,142.72
2023-12-111.00711.0071686,443,392.92
2023-12-041.00661.0066686,074,374.86
2023-11-271.0061.006685,648,175.66
2023-11-201.00531.0053685,161,411.45
2023-11-131.00451.0045684,649,010.88
2023-11-061.00381.0038684,140,426.18
2023-10-301.00311.0031683,690,417.13
2023-10-231.00251.0025683,307,477.42
2023-10-161.00211.0021682,984,280.07
2023-10-091.00141.0014682,531,984.57
2023-10-071.00121.0012682,393,311.04
2023-09-301.00051.0005681,941,788.79
2023-09-281.00031.0003681,817,162.83
2023-09-251.00031.0003681,761,584.9
2023-09-1811681,564,925.6
2023-09-1111-


【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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