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紹興銀行金蘭花月月盈1號理財(cái)產(chǎn)品凈值公告

尊敬的客戶:

我行發(fā)行的“紹興銀行金蘭花月月1號理財(cái)產(chǎn)品”,現(xiàn)按照理財(cái)產(chǎn)品說明書進(jìn)行投資運(yùn)作,本產(chǎn)品的凈值情況如下:

日期

單位凈值

累計(jì)單位凈值

2024/12/12

1.06869250

1.06869250

2024/12/11

1.06865212

1.06865212

2024/12/10

1.06858851

1.06858851

2024/12/09

1.06844328

1.06844328

2024/12/08

1.06846766

1.06846766

2024/12/07

1.06840331

1.06840331

2024/12/06

1.06833895

1.06833895

2024/12/05

1.06831307

1.06831307

2024/12/04

1.06831328

1.06831328

2024/12/03

1.06822835

1.06822835

2024/12/02

1.06817679

1.06817679

2024/12/01

1.06793205

1.06793205

2024/11/30

1.06787316

1.06787316

2024/11/29

1.06781427

1.06781427

2024/11/28

1.06767854

1.06767854

2024/11/27

1.06760458

1.06760458

2024/11/26

1.06755437

1.06755437

2024/11/25

1.06747418

1.06747418

2024/11/24

1.06744550

1.06744550

2024/11/23

1.06738247

1.06738247

2024/11/22

1.06731307

1.06731307

2024/11/21

1.06726246

1.06726246

2024/11/20

1.06720901

1.06720901

2024/11/19

1.06719108

1.06719108

2024/11/18

1.06714291

1.06714291

2024/11/17

1.06712617

1.06712617

2024/11/16

1.06705290

1.06705290

2024/11/15

1.06697963

1.06697963

2024/11/14

1.06691357

1.06691357

2024/11/13

1.06686478

1.06686478

2024/11/12

1.06681989

1.06681989

2024/11/11

1.06674446

1.06674446

2024/11/10

1.06675644

1.06675644

2024/11/09

1.06669154

1.06669154

2024/11/08

1.06661672

1.06661672

2024/11/07

1.06655572

1.06655572

2024/11/06

1.06647838

1.06647838

2024/11/05

1.06639947

1.06639947

2024/11/04

1.06632118

1.06632118

2024/11/03

1.06628543

1.06628543

2024/11/02

1.06621200

1.06621200

2024/11/01

1.06613856

1.06613856

2024/10/31

1.06601625

1.06601625

2024/10/30

1.06593759

1.06593759

2024/10/29

1.06587509

1.06587509

2024/10/28

1.06584052

1.06584052

2024/10/27

1.06583247

1.06583247

2024/10/26

1.06576492

1.06576492

2024/10/25

1.06569738

1.06569738

2024/10/24

1.06566547

1.06566547

2024/10/23

1.06563274

1.06563274

2024/10/22

1.06565281

1.06565281

2024/10/21

1.06562549

1.06562549

2024/10/20

1.06563265

1.06563265

2024/10/19

1.06555734

1.06555734

2024/10/18

1.06548204

1.06548204

2024/10/17

1.06536460

1.06536460

2024/10/16

1.06522921

1.06522921

2024/10/15

1.06510472

1.06510472

2024/10/14

1.06495042

1.06495042

2024/10/13

1.06474224

1.06474224

2024/10/12

1.06466732

1.06466732

2024/10/11

1.06454502

1.06454502

2024/10/10

1.06436649

1.06436649

2024/10/09

1.06435930

1.06435930

2024/10/08

1.06471670

1.06471670

2024/10/07

1.06495956

1.06495956

2024/10/06

1.06488447

1.06488447

2024/10/05

1.06480939

1.06480939

2024/10/04

1.06473431

1.06473431

2024/10/03

1.06465922

1.06465922

2024/10/02

1.06458414

1.06458414

2024/10/01

1.06450905

1.06450905

2024/09/30

1.06443397

1.06443397

2024/09/29

1.06460836

1.06460836

2024/09/28

1.06469168

1.06469168

2024/09/27

1.06461639

1.06461639

2024/09/26

1.06472352

1.06472352

2024/09/25

1.06468853

1.06468853

2024/09/24

1.06455847

1.06455847

2024/09/23

1.06443443

1.06443443

2024/09/22

1.06449310

1.06449310

2024/09/21

1.06441438

1.06441438

2024/09/20

1.06433566

1.06433566

2024/09/19

1.06430923

1.06430923

2024/09/18

1.06428068

1.06428068

2024/09/17

1.06437258

1.06437258

2024/09/16

1.06429822

1.06429822

2024/09/15

1.06421852

1.06421852

2024/09/14

1.06413882

1.06413882

注:本凈值僅供參考使用,實(shí)際收益以產(chǎn)品到期兌付為準(zhǔn)。

感謝您一直以來對我行的信任與支持!

                                   

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