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净值公告

悦鑫·鸿运封闭式2025年第7期(湖南湖北河南陕西专属)人民币理财产品净值公告
发布日期:2026-08-18

尊敬的投资者:

我公司发行的悦鑫·鸿运封闭式2025年第7期(湖南湖北河南陕西专属)人民币理财产品(产品代码:2501OW0007)于2025-03-25成立,截至2026-08-17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)
2026-08-17 1.0361 1.0361 176,162,186.61
2026-08-10 1.0357 1.0357 176,084,724.14
2026-08-03 1.0352 1.0352 176,013,998.60
2026-07-27 1.0347 1.0347 175,961,956.88
2026-07-20 1.0342 1.0342 175,865,885.19
2026-07-13 1.0337 1.0337 175,780,733.37
2026-07-06 1.0334 1.0334 175,741,124.04
2026-06-30 1.0332 1.0332 175,704,432.66
2026-06-29 1.0330 1.0330 175,658,777.44
2026-06-22 1.0326 1.0326 175,604,986.04
2026-06-15 1.0322 1.0322 175,527,552.82
2026-06-08 1.0318 1.0318 175,458,969.10
2026-06-01 1.0309 1.0309 175,302,522.11
2026-05-25 1.0303 1.0303 175,314,547.11
2026-05-18 1.0300 1.0300 175,256,250.34
2026-05-11 1.0295 1.0295 175,165,532.82
2026-05-06 1.0293 1.0293 175,132,461.33
2026-04-27 1.0286 1.0286 175,148,477.34
2026-04-20 1.0281 1.0281 175,056,353.27
2026-04-13 1.0272 1.0272 174,897,537.78
2026-04-07 1.0267 1.0267 174,817,949.77
2026-03-31 1.0262 1.0262 174,733,846.78
2026-03-30 1.0261 1.0261 174,715,287.53
2026-03-23 1.0256 1.0256 174,631,657.41
2026-03-16 1.0251 1.0251 174,546,852.28
2026-03-09 1.0246 1.0246 174,457,320.10
2026-03-02 1.0241 1.0241 174,371,102.63
2026-02-24 1.0236 1.0236 174,283,681.04
2026-02-09 1.0224 1.0224 174,094,935.48
2026-02-02 1.0219 1.0219 174,009,880.84
2026-01-26 1.0214 1.0214 173,924,227.53
2026-01-19 1.0210 1.0210 173,844,867.85
2026-01-12 1.0204 1.0204 173,742,477.38
2026-01-05 1.0199 1.0199 173,654,293.42
2025-12-31 1.0195 1.0195 173,590,475.35
2025-12-29 1.0194 1.0194 173,575,164.32
2025-12-22 1.0189 1.0189 173,490,241.18
2025-12-15 1.0184 1.0184 173,413,739.88
2025-12-08 1.0179 1.0179 173,325,674.58
2025-12-01 1.0175 1.0175 173,249,567.79
2025-11-24 1.0170 1.0170 173,163,794.18
2025-11-17 1.0165 1.0165 173,090,354.09
2025-11-10 1.0160 1.0160 172,990,954.75
2025-11-03 1.0154 1.0154 172,898,602.88
2025-10-27 1.0149 1.0149 172,810,704.69
2025-10-20 1.0144 1.0144 172,720,209.91
2025-10-13 1.0138 1.0138 172,631,193.31
2025-10-09 1.0136 1.0136 172,584,325.79
2025-09-30 1.0130 1.0130 172,482,229.15
2025-09-29 1.0129 1.0129 172,471,830.28
2025-09-22 1.0125 1.0125 172,398,267.04
2025-09-15 1.0120 1.0120 172,352,629.39
2025-09-08 1.0117 1.0117 172,294,719.44
2025-09-01 1.0111 1.0111 172,200,449.05
2025-08-25 1.0106 1.0106 172,117,096.08
2025-08-18 1.0101 1.0101 172,031,593.05
2025-08-11 1.0096 1.0096 171,944,163.04
2025-08-04 1.0091 1.0091 171,860,317.72
2025-07-28 1.0086 1.0086 171,770,186.37
2025-07-21 1.0081 1.0081 171,687,464.48
2025-07-14 1.0076 1.0076 171,606,533.88
2025-07-07 1.0071 1.0071 171,510,213.55
2025-06-30 1.0065 1.0065 171,420,897.33
2025-06-23 1.0060 1.0060 171,331,506.76
2025-06-16 1.0055 1.0055 171,248,632.01
2025-06-09 1.0050 1.0050 171,155,256.10
2025-06-03 1.0046 1.0046 171,084,785.99
2025-05-26 1.0039 1.0039 170,979,589.75
2025-05-19 1.0030 1.0030 170,820,843.08
2025-05-12 1.0021 1.0021 170,670,109.78
2025-05-06 1.0016 1.0016 170,873,402.51
2025-04-28 1.0010 1.0010 170,762,994.78
2025-04-21 1.0006 1.0006 170,792,735.72
2025-04-14 0.9999 0.9999 170,685,096.70
2025-04-07 0.9995 0.9995 170,618,110.87
2025-03-31 0.9993 0.9993 170,576,445.34
2025-03-24 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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