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邮银财富·鸿博一年定开1号(FOF稳健策略指数)人民币理财产品净值公告
发布日期:2024-05-09

尊敬的投资者:

我公司发行的邮银财富·鸿博一年定开1号(FOF稳健策略指数)人民币理财产品(产品代码:2101BA0001)于2021-04-06成立,截至2024-05-06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) 认(申)购价格(元)/赎回价格(元)
2024-05-061.06351.0635-
2024-04-261.05871.0587-
2024-04-191.05441.05441.0544
2024-04-121.05441.0544-
2024-04-091.05361.0536-
2024-04-071.05311.0531-
2024-03-311.05111.0511--
2024-03-291.05111.0511-
2024-03-221.05061.0506-
2024-03-151.05051.0505-
2024-03-081.04831.0483-
2024-03-011.04781.0478-
2024-02-231.04451.0445-
2024-02-181.03681.0368-
2024-02-091.0371.037-
2024-02-021.03061.0306-
2024-01-261.03771.0377-
2024-01-191.03711.0371-
2024-01-121.04231.0423-
2024-01-051.04281.0428-
2023-12-311.04481.0448-
2023-12-291.04481.0448-
2023-12-221.03891.0389-
2023-12-151.03981.0398-
2023-12-081.03891.0389-
2023-12-011.04271.0427-
2023-11-241.04271.0427-
2023-11-171.04271.0427-
2023-11-101.04111.0411-
2023-11-031.04121.0412-
2023-10-271.0421.042-
2023-10-201.03811.0381-
2023-10-131.04451.0445-
2023-10-071.04661.0466-
2023-09-301.04671.0467--
2023-09-281.04671.0467-
2023-09-221.04781.0478-
2023-09-151.04741.0474-
2023-09-081.04391.0439-
2023-09-011.04851.0485-
2023-08-251.04581.0458-
2023-08-181.04861.0486-
2023-08-111.04841.0484-
2023-08-041.05251.0525-
2023-07-281.05131.0513-
2023-07-211.04561.0456-
2023-07-141.0451.045-
2023-07-071.04121.0412-
2023-06-301.03861.0386-
2023-06-251.03491.0349-
2023-06-161.03891.0389-
2023-06-091.03491.0349-
2023-06-021.03431.0343-
2023-05-261.0351.035-
2023-05-191.03831.0383-
2023-05-121.04071.0407-
2023-05-051.04051.0405-
2023-04-281.0341.034-
2023-04-211.02861.0286-
2023-04-191.02961.02961.0296
2023-04-141.02861.0286-
2023-04-071.02831.0283-
2023-03-311.02721.0272-
2023-03-241.02631.0263-
2023-03-171.0251.025-
2023-03-101.02451.0245-
2023-03-031.02461.0246-
2023-02-241.02451.0245-
2023-02-171.02411.0241-
2023-01-311.02171.0217-
2022-12-311.01711.0171--
2022-12-301.0171.017-
2022-11-301.01961.0196-
2022-10-311.02371.0237-
2022-09-301.02491.0249-
2022-08-311.03271.0327-
2022-07-311.03481.0348--
2022-06-301.03691.0369-
2022-05-311.0261.026-
2022-04-191.01981.01981.0198
2022-03-311.02171.0217-
2022-03-301.02011.0201-
2022-02-281.02791.0279-
2022-01-311.02681.0268--
2021-12-311.03211.0321-
2021-11-301.02981.0298-
2021-10-311.02121.0212--
2021-09-301.0171.017-
2021-08-311.0181.018-
2021-07-311.01531.0153--
2021-06-301.01241.0124-
2021-05-311.00971.0097-
2021-04-301.00351.0035-
2021-04-0511--

备注:认(申)购价格和赎回价格即为产品份额净值。


【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。

我公司将恪守勤勉尽责的原则,合理配置资产组合,为客户提供专业化的理财服务。客户应密切关注邮储银行官网与本产品有关的信息披露,以免造成不必要的损失。

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2024年05月09日

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