产品基本信息:
产品代码 | 产品名称 | 起息日 | 期限(天) | 产品类型 | 份额结转频率 |
90318011 | 兴业银行“现金宝-添利1号”净值型理财产品 | 2018-04-02 | 无固定期限 | 开放式净值型 | 按日结转 |
估值日产品收益及净值表现如下表所示:
估值日 | 万份收益 | 七日年化收益率 | 当期业绩比较基准(%) |
2018-08-31 | 1.1308 | 4.1970% | 4.00% |
2018-08-30 | 1.1271 | 4.1970% | 4.00% |
2018-08-29 | 1.1222 | 4.1970% | 4.00% |
2018-08-28 | 1.1420 | 4.2010% | 4.00% |
2018-08-27 | 1.1280 | 4.2040% | 4.00% |
2018-08-26 | 1.1175 | 4.2110% | 4.00% |
2018-08-25 | 1.1176 | 4.2160% | 4.00% |
2018-08-24 | 1.1306 | 4.2200% | 4.00% |
2018-08-23 | 1.1279 | 4.2240% | 4.00% |
2018-08-22 | 1.1292 | 4.2230% | 4.00% |
2018-08-21 | 1.1481 | 4.2240% | 4.00% |
2018-08-20 | 1.1405 | 4.2170% | 4.00% |
2018-08-19 | 1.1254 | 4.2130% | 4.00% |
2018-08-18 | 1.1256 | 4.2160% | 4.00% |
2018-08-17 | 1.1379 | 4.2190% | 4.00% |
2018-08-16 | 1.1264 | 4.2190% | 4.00% |
2018-08-15 | 1.1304 | 4.2230% | 4.00% |
2018-08-14 | 1.1364 | 4.2280% | 4.00% |
2018-08-13 | 1.1334 | 4.2320% | 4.00% |
2018-08-12 | 1.1307 | 4.2340% | 4.00% |
2018-08-11 | 1.1308 | 4.2360% | 4.00% |
2018-08-10 | 1.1367 | 4.2370% | 4.00% |
2018-08-09 | 1.1354 | 4.2390% | 4.00% |
2018-08-08 | 1.1389 | 4.2420% | 4.00% |
2018-08-07 | 1.1436 | 4.2480% | 4.00% |
2018-08-06 | 1.1372 | 4.2520% | 4.00% |
2018-08-05 | 1.1338 | 4.2530% | 4.00% |
2018-08-04 | 1.1339 | 4.2520% | 4.00% |
2018-08-03 | 1.1396 | 4.2510% | 4.00% |
2018-08-02 | 1.1405 | 4.2620% | 4.00% |
2018-08-01 | 1.1498 | 4.2630% | 4.00% |
说明:公告中的“七日年化收益率”为根据近7日万份收益计算的年化收益率,为复利计算法。“当前业绩比较基准”为当前投资周期起始日设立的业绩比较基准。特此公告!
兴业银行
2018-08-31