兴业银行天天万利宝稳利6号净值型理财产品C款 [月月盈B款] 估值日公告

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
9K219173 兴业银行天天万利宝稳利6号净值型理财产品C款 2020-09-01 2030-09-03 3654 客户周期型净值型

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 当期业绩比较基准(%)(投资周期起始日)
2020-10-31 1.00528 1.00528 3.10%--4.10%
2020-10-29 1.00507 1.00507 3.10%--4.10%
2020-10-28 1.00499 1.00499 3.10%--4.10%
2020-10-27 1.00493 1.00493 3.10%--4.10%
2020-10-26 1.00486 1.00486 3.10%--4.10%
2020-10-25 1.00477 1.00477 3.10%--4.10%
2020-10-24 1.00469 1.00469 3.10%--4.10%
2020-10-23 1.00460 1.00460 3.10%--4.10%
2020-10-22 1.00452 1.00452 3.10%--4.10%
2020-10-21 1.00443 1.00443 3.10%--4.10%
2020-10-20 1.00435 1.00435 3.10%--4.10%
2020-10-19 1.00426 1.00426 3.10%--4.10%
2020-10-18 1.00418 1.00418 3.10%--4.10%
2020-10-17 1.00409 1.00409 3.10%--4.10%
2020-10-16 1.00401 1.00401 3.10%--4.10%
2020-10-15 1.00393 1.00393 3.10%--4.10%
2020-10-14 1.00384 1.00384 3.10%--4.10%
2020-10-13 1.00375 1.00375 3.10%--4.10%
2020-10-12 1.00367 1.00367 3.10%--4.10%
2020-10-11 1.00358 1.00358 3.10%--4.10%
2020-10-10 1.00349 1.00349 3.10%--4.10%
2020-10-09 1.00340 1.00340 3.10%--4.10%
2020-10-08 1.00332 1.00332 3.10%--4.10%
2020-10-07 1.00322 1.00322 3.10%--4.10%
2020-10-06 1.00312 1.00312 3.10%--4.10%
2020-10-05 1.00302 1.00302 3.10%--4.10%
2020-10-04 1.00292 1.00292 3.10%--4.10%
2020-10-03 1.00282 1.00282 3.10%--4.10%
2020-10-02 1.00272 1.00272 3.10%--4.10%
2020-10-01 1.00262 1.00262 3.10%--4.10%

说明:“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

2020-11-02