深圳农商银行圳元宝第95期理财产品净值披露

2024-04-26

尊敬的客户:

本行的深圳农村商业银行股份有限公司信通理财-圳元宝第95期理财产品净值信息披露如下:

产品编号

产品名称

单位净值

资产净值

净值日期

ZYB828067

圳元宝第95期理财产品

0.9999

75,289,546.20    

20230331

ZYB828067

圳元宝第95期理财产品

1.0013

75,392,105.87

20230407

ZYB828067

圳元宝第95期理财产品

1.0024

75,471,521.24

20230414

ZYB828067

圳元宝第95期理财产品

1.0034

75,550,936.65

20230421

ZYB828067

圳元宝第95期理财产品

 1.0008

75,352,520.81

20230428

ZYB828067

圳元宝第95期理财产品

 1.0019

 75,434,125.88

20230505

ZYB828067

圳元宝第95期理财产品

1.0041

75,605,857.10

20230512

ZYB828067

圳元宝第95期理财产品

1.0044

75,625,067.14

20230519

ZYB828067

圳元宝第95期理财产品

1.0060

75,748,268.90

20230526

ZYB828067

圳元宝第95期理财产品

1.0061

75,754,067.18

20230531

ZYB828067

圳元宝第95期理财产品

1.0066

75,788,277.28

20230602

ZYB828067

圳元宝第95期理财产品

1.0083

75,918,411.82

20230609

ZYB828067

圳元宝第95期理财产品

1.0097

76,020,815.23

20230616

ZYB828067

圳元宝第95期理财产品

1.0098

76,033,546.29

20230621

ZYB828067

圳元宝第95期理财产品

1.0111

76,128,563.12

20230630

ZYB828067

圳元宝第95期理财产品

1.0122

76,210,168.19

20230707

ZYB828067

圳元宝第95期理财产品

1.0132

76,284,840.48

20230714

ZYB828067

圳元宝第95期理财产品

1.0142

76,366,445.55

20230721

ZYB828067

圳元宝第95期理财产品

1.0143

76,371,790.03

20230728

ZYB828067

圳元宝第95期理财产品

1.0142

76,364,176.55

20230731

ZYB828067

圳元宝第95期理财产品

1.0149

76,418,731.20

20230804

ZYB828067

圳元宝第95期理财产品

1.0159

76,493,403.49

20230811

ZYB828067

圳元宝第95期理财产品

1.0177

76,623,538.03

20230818

ZYB828067

圳元宝第95期理财产品

1.0191

76,731,606.91

20230825

ZYB828067

圳元宝第95期理财产品

1.0194

76,754,354.25

20230831

ZYB828067

圳元宝第95期理财产品

1.0195

76,762,708.75

20230901

ZYB828067

圳元宝第95期理财产品

1.0183

76,672,856.44

20230908

ZYB828067

圳元宝第95期理财产品

1.0187

76,703,120.80

20230915

ZYB828067

圳元宝第95期理财产品

1.0194

76,754,288.89

20230922

ZYB828067

圳元宝第95期理财产品

1.0196

76,767,965.38

20230928

ZYB828067

圳元宝第95期理财产品

1.0202

76,814,149.98

20231013

ZYB828067

圳元宝第95期理财产品

1.0202

76,812,436.20

20231020

ZYB828067

圳元宝第95期理财产品

1.0208

76,860,380.54

20231027

ZYB828067

圳元宝第95期理财产品

1.0212

76,893,276.48

20231031

ZYB828067

圳元宝第95期理财产品

1.0218

76,931,391.63

20231103

ZYB828067

圳元宝第95期理财产品

1.0229

77,020,771.81

20231110

ZYB828067

圳元宝第95期理财产品

1.0239

77,091,836.97

20231117

ZYB828067

圳元宝第95期理财产品

1.0248

77,159,511.31

20231124

ZYB828067

圳元宝第95期理财产品

1.0250

77,178,513.57

20231130

ZYB828067

圳元宝第95期理财产品

1.0252

77,189,868.57

20231201

ZYB828067

圳元宝第95期理财产品

1.0254

77,209,400.30

20231208

ZYB828067

圳元宝第95期理财产品

1.0262

77,268,482.84

20231215

ZYB828067

圳元宝第95期理财产品

1.0274

77,354,402.18

20231222

ZYB828067

圳元宝第95期理财产品

1.0284

77,428,853.32

20231229

ZYB828067

圳元宝第95期理财产品

1.0292

77,488,473.15

20240105

ZYB828067

圳元宝第95期理财产品

1.0306

77,599,613.26

20240112

ZYB828067

圳元宝第95期理财产品

1.0318

77,687,981.95

20240119

ZYB828067

圳元宝第95期理财产品

1.0322

77,720,600.68

20240126

ZYB828067

圳元宝第95期理财产品

1.0330

77,781,723.25

20240131

ZYB828067

圳元宝第95期理财产品

1.0334

77,807,855.97

20240202

ZYB828067

圳元宝第95期理财产品

1.0341

77,860,195.89

20240208

ZYB828067

圳元宝第95期理财产品

1.0361

78,008,404.68

20240223

ZYB828067

圳元宝第95期理财产品

1.0376

78,126,246.90

20240229

ZYB828067

圳元宝第95期理财产品

1.0376

78,121,603.82

20240301

ZYB828067

圳元宝第95期理财产品

1.0385

78,190,026.90

20240308

ZYB828067

圳元宝第95期理财产品

1.0386

78,198,011.38

20240315

ZYB828067

圳元宝第95期理财产品

1.0392

78,244,557.38

20240322

ZYB828067

圳元宝第95期理财产品

1.0396

78,275,796.49

20240329

ZYB828067

圳元宝第95期理财产品

1.0404

78,333,833.27

20240403

ZYB828067

圳元宝第95期理财产品

1.0416

78,423,308.04

20240412

ZYB828067

圳元宝第95期理财产品

1.0427

78,507,042.17

20240419

ZYB828067

圳元宝第95期理财产品

1.0442

78,618,158.01

20240426

 

 

深圳农村商业银行股份有限公司