工银理财·恒睿私银固定收益类封闭净值型理财产品(20GS6809)-业务指南-中国工商银行手机网站(工银理财·恒鑫私银嘉年华期间分配封闭净值型产品(20GS1808)-业务指南-中国工商银行手机网站)
- 百科生活
- 2024-11-24
- 1
- 更新:2024-11-24 05:57:05
估值截止日
|
理财资产单位净值
|
2020-09-16
|
1.0028
|
2020-09-09
|
1.0017
|
2020-09-02
|
1.0054
|
2020-08-26
|
1.0040
|
2020-08-19
|
1.0040
|
2020-08-12
|
1.0024
|
2020-08-05
|
1.0049
|
2020-07-29
|
1.0032
|
2020-07-22
|
1.0033
|
估值截止日
|
理财资产单位净值
|
2021-03-24
|
1.0425
|
2021-03-23
|
1.0425
|
2021-03-16
|
1.0418
|
2021-03-09
|
1.0409
|
2021-03-02
|
1.0399
|
2021-02-23
|
1.0402
|
2021-02-18
|
1.0396
|
2021-02-09
|
1.0385
|
2021-02-02
|
1.0377
|
2021-01-26
|
1.0369
|
2021-01-19
|
1.0360
|
2021-01-12
|
1.0352
|
2021-01-05
|
1.0344
|
2020-12-29
|
1.0335
|
2020-12-22
|
1.0327
|
2020-12-15
|
1.0319
|
2020-12-08
|
1.0310
|
2020-12-01
|
1.0302
|
2020-11-24
|
1.0294
|
2020-11-17
|
1.0285
|
2020-11-10
|
1.0277
|
2020-11-03
|
1.0268
|
2020-10-27
|
1.0260
|
2020-10-20
|
1.0252
|
2020-10-13
|
1.0243
|
2020-10-09
|
1.0239
|
2020-09-29
|
1.0227
|
2020-09-22
|
1.0258
|
2020-09-15
|
1.0210
|
2020-09-08
|
1.0202
|
2020-09-01
|
1.0193
|
2020-08-25
|
1.0185
|
2020-08-18
|
1.0177
|
2020-08-11
|
1.0168
|
2020-08-04
|
1.0160
|
2020-07-28
|
1.0152
|
2020-07-21
|
1.0143
|
2020-07-14
|
1.0135
|
2020-07-07
|
1.0127
|
2020-06-30
|
1.0118
|
2020-06-23
|
1.0110
|
2020-06-16
|
1.0102
|
2020-06-09
|
1.0094
|
2020-06-02
|
1.0085
|
2020-05-26
|
1.0077
|
2020-05-19
|
1.0069
|
2020-05-12
|
1.0060
|
2020-05-07
|
1.0054
|
2020-04-28
|
1.0044
|
2020-04-21
|
1.0035
|
2020-04-14
|
1.0027
|
2020-04-07
|
1.0019
|
2020-03-31
|
1.0010
|
2020-03-24
|
1.0002
|