产品基本信息:
产品代码 | 产品名称 | 起息日 | 到期日 | 期限(天) | 产品类型 |
9K816011 | 兴业银行“天天万利宝-稳盈”开放式净值型理财产品(2M) | 2016-10-09 | 2026-10-13 | 3656 | 开放式净值型 |
估值日产品收益及净值表现如下表所示:
估值日 | 单位份额净值 | 份额累计净值 | 最近30日参考收益率(年化) | 业绩比较基准(%) |
2016-10-31 | 1.00253 | 1.00253 | 4.0150% | 3.85-3.95% |
2016-10-30 | 1.00242 | 1.00242 | 4.0150% | 3.85-3.95% |
2016-10-29 | 1.00231 | 1.00231 | 4.0150% | 3.85-3.95% |
2016-10-28 | 1.00221 | 1.00221 | 4.0333% | 3.85-3.95% |
2016-10-27 | 1.0021 | 1.0021 | 4.0342% | 3.85-3.95% |
2016-10-26 | 1.00199 | 1.00199 | 4.0353% | 3.85-3.95% |
2016-10-25 | 1.00188 | 1.00188 | 4.0365% | 3.85-3.95% |
2016-10-24 | 1.00177 | 1.00177 | 4.0378% | 3.85-3.95% |
2016-10-23 | 1.00166 | 1.00166 | 4.0393% | 3.85-3.95% |
2016-10-22 | 1.00155 | 1.00155 | 4.0411% | 3.85-3.95% |
2016-10-21 | 1.00144 | 1.00144 | 4.0431% | 3.85-3.95% |
2016-10-20 | 1.00133 | 1.00133 | 4.0454% | 3.85-3.95% |
2016-10-19 | 1.00122 | 1.00122 | 4.0482% | 3.85-3.95% |
2016-10-18 | 1.0011 | 1.0011 | 4.0150% | 3.85-3.95% |
2016-10-17 | 1.00099 | 1.00099 | 4.0150% | 3.85-3.95% |
2016-10-16 | 1.00088 | 1.00088 | 4.0150% | 3.85-3.95% |
2016-10-15 | 1.00078 | 1.00078 | 4.0671% | 3.85-3.95% |
2016-10-14 | 1.00068 | 1.00068 | -- | 3.85-3.95% |
2016-10-13 | 1.00058 | 1.00058 | -- | 3.85-3.95% |
2016-10-12 | 1.00047 | 1.00047 | -- | 3.85-3.95% |
2016-10-11 | 1.00036 | 1.00036 | -- | 3.85-3.95% |
2016-10-10 | 1.00024 | 1.00024 | -- | 3.85-3.95% |
2016-10-09 | 1.00013 | 1.00013 | -- | 3.85-3.95% |
历史分红情况如下表所示:
红利发放日 | 单位分红 | 超额收益(客户) | 超额收益(银行) |
无 |
说明:“最近30日参考收益率(年化)”为方便向客户展示,根据产品投资情况测算的收益率,不作为实际兑付的依据,仅供参考。特此公告!
兴业银行
2016-11-01