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净值公告

优盛·鸿锦封闭式2024年第43期(安盈款)人民币理财产品净值公告
发布日期:2026-01-15

尊敬的投资者:

我公司发行的优盛·鸿锦封闭式2024年第43期(安盈款)人民币理财产品(产品代码:2401UG0043)于2024-08-14成立,截至2026-01-13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)
2026-01-13 1.0378 1.0378 517,490,994.50
2026-01-06 1.0373 1.0373 517,244,037.46
2025-12-31 1.0367 1.0367 516,975,596.57
2025-12-30 1.0367 1.0367 516,944,793.91
2025-12-23 1.0362 1.0362 516,693,113.18
2025-12-16 1.0356 1.0356 516,426,431.43
2025-12-09 1.0351 1.0351 516,187,711.00
2025-12-02 1.0346 1.0346 515,926,850.82
2025-11-25 1.0341 1.0341 516,307,219.68
2025-11-18 1.0334 1.0334 515,999,040.13
2025-11-11 1.0328 1.0328 515,690,303.16
2025-11-04 1.0323 1.0323 515,440,613.84
2025-10-28 1.0315 1.0315 515,054,112.69
2025-10-21 1.0307 1.0307 514,641,179.22
2025-10-14 1.0308 1.0308 514,675,728.79
2025-10-09 1.0303 1.0303 514,418,994.80
2025-09-30 1.0295 1.0295 514,054,280.62
2025-09-23 1.0293 1.0293 513,926,580.74
2025-09-16 1.0288 1.0288 513,703,329.53
2025-09-09 1.0285 1.0285 513,543,473.41
2025-09-02 1.0280 1.0280 513,272,485.32
2025-08-26 1.0273 1.0273 512,949,888.78
2025-08-19 1.0267 1.0267 512,665,949.89
2025-08-12 1.0265 1.0265 512,538,075.96
2025-08-05 1.0259 1.0259 512,227,448.95
2025-07-29 1.0250 1.0250 511,803,741.88
2025-07-22 1.0249 1.0249 511,935,911.56
2025-07-15 1.0242 1.0242 511,602,154.90
2025-07-08 1.0237 1.0237 511,346,721.14
2025-07-01 1.0228 1.0228 510,890,488.77
2025-06-30 1.0227 1.0227 510,833,671.71
2025-06-24 1.0222 1.0222 510,586,161.46
2025-06-17 1.0215 1.0215 510,227,723.75
2025-06-10 1.0207 1.0207 509,873,667.12
2025-06-03 1.0200 1.0200 509,501,811.02
2025-05-27 1.0195 1.0195 509,268,338.02
2025-05-20 1.0187 1.0187 508,857,147.44
2025-05-13 1.0179 1.0179 508,465,516.35
2025-05-06 1.0171 1.0171 508,060,004.00
2025-04-29 1.0165 1.0165 507,761,806.33
2025-04-22 1.0159 1.0159 507,436,516.71
2025-04-15 1.0154 1.0154 507,200,301.02
2025-04-08 1.0150 1.0150 507,006,712.92
2025-04-01 1.0140 1.0140 506,510,569.08
2025-03-31 1.0139 1.0139 506,471,227.86
2025-03-25 1.0135 1.0135 506,287,348.54
2025-03-18 1.0126 1.0126 505,833,128.53
2025-03-11 1.0118 1.0118 505,456,774.02
2025-03-04 1.0122 1.0122 505,650,161.88
2025-02-25 1.0119 1.0119 505,506,483.10
2025-02-18 1.0123 1.0123 505,669,598.10
2025-02-11 1.0121 1.0121 505,607,291.81
2025-02-05 1.0116 1.0116 505,364,632.45
2025-01-21 1.0110 1.0110 505,035,953.60
2025-01-14 1.0111 1.0111 505,091,302.65
2025-01-07 1.0107 1.0107 504,914,841.84
2024-12-31 1.0099 1.0099 504,481,003.29
2024-12-24 1.0093 1.0093 504,181,719.50
2024-12-17 1.0089 1.0089 503,984,922.67
2024-12-10 1.0080 1.0080 503,561,471.02
2024-12-03 1.0068 1.0068 502,937,231.76
2024-11-26 1.0054 1.0054 502,269,874.78
2024-11-19 1.0046 1.0046 501,834,556.48
2024-11-12 1.0036 1.0036 501,330,754.43
2024-11-05 1.0027 1.0027 500,940,847.09
2024-10-29 1.0022 1.0022 500,687,634.90
2024-10-22 1.0024 1.0024 500,787,622.43
2024-10-15 1.0016 1.0016 500,377,565.26
2024-10-08 1.0007 1.0007 499,916,943.92
2024-09-24 1.0016 1.0016 500,602,651.52
2024-09-18 1.0014 1.0014 500,513,982.13
2024-09-10 1.0011 1.0011 500,525,819.07
2024-09-03 1.0007 1.0007 500,373,070.28
2024-08-27 1.0004 1.0004 500,214,695.18
2024-08-20 1.0004 1.0004 500,184,276.27
2024-08-13 1 1 -

【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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