信通理财-圳元金六月盈理财产品5净值披露

2023-05-31

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本行的信通理财-圳元金六月盈理财产品5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

20201231

ZYJ800605

3.80%

1.0009

1.0009

20210129

ZYJ800605

3.80%

1.0044

1.0044

20210226

ZYJ800605

3.80%

1.0075

1.0075

20210331

ZYJ800605

3.80%

1.0117

1.0117

20210430

ZYJ800605

3.80%

1.0155

1.0155

20210531

ZYJ800605

3.80%

1.0193

1.0193

20210630

ZYJ800605

3.70%

1.0008

1.0197

20210730

ZYJ800605

3.70%

1.0091

1.0280

20210831

ZYJ800605

3.70%

1.0131  

1.0320  

20210930

ZYJ800605

3.70%

1.0141   

1.0330   

20211029

ZYJ800605

3.70%

1.0176    

1.0365  

20211130

ZYJ800605

3.70%

1.0238    

1.0427  

20211231

ZYJ800605

3.80%

1.0006     

1.0381   

20220128

ZYJ800605

3.80%

1.0105      

1.0480    

20220228

ZYJ800605

3.80%

1.0113      

1.0488    

20220331

ZYJ800605

3.80%

1.0107      

1.0482    

20220429

ZYJ800605

3.80%

1.0161      

1.0536    

20220531

ZYJ800605

3.80%

1.0230      

1.0605    

20220630

ZYJ800605

3.80%

1.0000      

1.0566    

20220729

ZYJ800605

3.80%

1.0048      

1.0614    

20220831

ZYJ800605

3.80%

1.0069

1.0635

20220930

ZYJ800605

3.80%

1.0084

1.0650

20221031

ZYJ800605

3.80%

1.0124

1.0690

20221130

ZYJ800605

3.80%

0.9985

1.0551

20221230

ZYJ800605

0.80%-3.00%

0.9968

1.0573

20230131

ZYJ800605

0.80%-3.00%

0.9948

1.0553

20230228

ZYJ800605

0.80%-3.00%

1.0007

1.0612

20230331

ZYJ800605

0.80%-3.00%

1.0005

1.0610

20230428

ZYJ800605

0.80%-3.00%

1.0013

1.0618

20230531

ZYJ800605

0.80%-3.00%

1.0067

1.0672

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

2023年05月31日