尊敬的客户:
本行的信通理财-圳元金月月盈理财产品7净值披露信息如下:
净值日期 |
产品编号 |
业绩比较基准 |
份额净值 |
产品累计净值 |
20240628 |
ZYJ800307 |
2.40%-2.90% |
1.00100659 |
1.00100659 |
20240731 |
ZYJ800307 |
2.40%-2.80% |
1.00419063 |
1.00419063 |
20240830 |
ZYJ800307 |
2.40%-2.80% |
1.00499194 |
1.00499194 |
20240930 |
ZYJ800307 |
2.30%-2.80% |
1.00653260 |
1.00653260 |
20241031 |
ZYJ800307 |
1.50%-2.80% |
1.00808075 |
1.00808075 |
20241129 |
ZYJ800307 |
1.50%-2.80% |
1.01022193 |
1.01022193 |
20241231 |
ZYJ800307 |
1.50%-2.80% |
1.01325023 |
1.01325023 |
20250127 |
ZYJ800307 |
1.50%-2.80% |
1.01478369 |
1.01478369 |
20250228 |
ZYJ800307 |
1.50%-2.80% |
1.01607049 |
1.01607049 |
20250331 |
ZYJ800307 |
1.50%-2.75% |
1.01768175 |
1.01768175 |
20250430 |
ZYJ800307 |
1.50%-2.75% |
1.01970949 |
1.01970949 |
20250530 |
ZYJ800307 |
1.50%-2.75% |
1.02213011 |
1.02213011 |
20250630 |
ZYJ800307 |
1.50%-2.60% |
1.02434286 |
1.02434286 |
20250731 |
ZYJ800307 |
1.50%-2.70% |
1.02621675 |
1.02621675 |
20250829 |
ZYJ800307 |
1.50%-2.70% |
1.02821052 |
1.02821052 |
说明:公告中的 “业绩比较基准”为当前投资周期起始日设立的业绩比较基准。特此公告!
深圳农村商业银行股份有限公司
2025年9月2日