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净值公告-公募封闭式

邮银财富·鸿运封闭式2023年第3期(目标日期策略)A人民币理财产品净值公告
发布日期:2024-10-29

尊敬的投资者:

我公司发行的邮银财富·鸿运封闭式2023年第3期(目标日期策略)A人民币理财产品(产品代码:2301AJ003A)于2023-09-25成立,截至2024-10-28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)
2024-10-281.03591.0359139,445,104.16
2024-10-231.03581.0358139,431,395.93
2024-10-161.03541.0354139,376,765.8
2024-10-091.03481.0348139,297,696.96
2024-10-081.03481.0348139,296,435.01
2024-09-251.03381.0338139,166,985.79
2024-09-181.03331.0333139,094,833.58
2024-09-111.03281.0328139,026,395.22
2024-09-041.03161.0316138,874,696.01
2024-08-281.03081.0308138,756,612.23
2024-08-211.03021.0302138,683,036.5
2024-08-141.02981.0298138,623,651.94
2024-08-071.02991.0299138,644,952.46
2024-07-311.0281.028138,386,449.89
2024-07-241.02671.0267138,209,090.81
2024-07-171.02621.0262138,144,954.96
2024-07-101.0261.026138,110,498.34
2024-07-031.02561.0256138,057,057.81
2024-06-261.0251.025137,981,325.66
2024-06-191.02471.0247137,943,982.86
2024-06-121.02431.0243137,879,440.48
2024-06-051.02371.0237137,802,721.7
2024-05-291.0231.023137,712,804.68
2024-05-221.02251.0225137,640,307.8
2024-05-151.0221.022137,575,085.74
2024-05-081.02141.0214137,493,029.29
2024-05-061.02111.0211137,456,879.73
2024-04-241.02041.0204137,364,128.56
2024-04-171.01971.0197137,270,811.87
2024-04-101.01891.0189137,165,122.26
2024-04-031.01821.0182137,063,304.93
2024-03-311.01781.0178137,010,396.95
2024-03-291.01771.0177136,997,940.24
2024-03-271.01751.0175136,971,367.63
2024-03-201.01691.0169136,884,148.37
2024-03-131.01631.0163136,806,349.96
2024-03-061.01581.0158136,739,299.32
2024-02-281.01521.0152136,655,509.47
2024-02-211.01441.0144136,547,105.78
2024-02-181.0141.014136,502,448.43
2024-02-071.0131.013136,363,487.06
2024-01-311.01231.0123136,264,573.6
2024-01-241.01151.0115136,168,009.4
2024-01-171.01041.0104136,010,524.35
2024-01-101.00971.0097135,914,909.67
2024-01-031.00871.0087135,790,984.02
2023-12-311.00821.0082135,723,789.08
2023-12-291.00811.0081135,705,629.11
2023-12-271.00711.0071135,571,765.99
2023-12-201.00621.0062135,450,381.64
2023-12-131.00541.0054135,362,003.63
2023-12-061.00511.0051135,320,315.34
2023-11-291.00471.0047135,266,224.1
2023-11-221.00491.0049135,290,854.77
2023-11-151.00431.0043135,213,259.62
2023-11-081.00341.0034135,097,347.37
2023-11-011.00231.0023134,943,375.43
2023-10-251.00121.0012134,797,370.82
2023-10-181.00151.0015134,837,513.39
2023-10-111.00131.0013134,803,632.3
2023-10-071.00041.0004134,685,177.94
2023-09-301.00031.0003134,674,844.81
2023-09-281.00031.0003134,671,892.31
2023-09-2411-


【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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2024年10月29日

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