兴业银行现金宝(1号)人民币理财计划[现金宝1号理财计划(每工作日可申赎)] 参考收益率(2021年9-10月)

收益率:兴业银行现金宝(1号)人民币理财计划产品当天为理财客户实现的年化收益率(客户净收益率,已扣除银行管理费率)。

万份收益:每1万份兴业银行现金宝(1号)人民币理财计划产品当天的收益金额。

日期 收益率(年率) 万份收益
2021-10-29 2.5000% 0.6849
2021-10-28 2.5000% 0.6849
2021-10-27 2.5000% 0.6849
2021-10-26 2.5000% 0.6849
2021-10-25 2.5000% 0.6849
2021-10-24 2.5000% 0.6849
2021-10-23 2.5000% 0.6849
2021-10-22 2.5000% 0.6849
2021-10-21 2.5000% 0.6849
2021-10-20 2.5000% 0.6849
2021-10-19 2.5000% 0.6849
2021-10-18 2.5000% 0.6849
2021-10-17 2.5000% 0.6849
2021-10-16 2.5000% 0.6849
2021-10-15 2.5000% 0.6849
2021-10-14 2.5000% 0.6849
2021-10-13 2.5000% 0.6849
2021-10-12 2.5000% 0.6849
2021-10-11 2.5000% 0.6849
2021-10-10 2.5000% 0.6849
2021-10-09 2.5000% 0.6849
2021-10-08 2.5000% 0.6849
2021-10-07 2.5000% 0.6849
2021-10-06 2.5000% 0.6849
2021-10-05 2.5000% 0.6849
2021-10-04 2.5000% 0.6849
2021-10-03 2.5000% 0.6849
2021-10-02 2.5000% 0.6849
2021-10-01 2.5000% 0.6849
2021-09-30 2.5000% 0.6849
2021-09-29 2.5000% 0.6849
2021-09-28 2.5000% 0.6849
2021-09-27 2.5000% 0.6849
2021-09-26 2.5000% 0.6849
2021-09-25 2.5000% 0.6849
2021-09-24 2.5000% 0.6849
2021-09-23 2.5000% 0.6849
2021-09-22 2.5000% 0.6849
2021-09-21 2.5000% 0.6849
2021-09-20 2.5000% 0.6849
2021-09-19 2.5000% 0.6849
2021-09-18 2.5000% 0.6849
2021-09-17 2.5000% 0.6849
2021-09-16 2.5000% 0.6849
2021-09-15 2.5000% 0.6849
2021-09-14 2.5000% 0.6849
2021-09-13 2.5000% 0.6849
2021-09-12 2.5000% 0.6849
2021-09-11 2.5000% 0.6849
2021-09-10 2.5000% 0.6849
2021-09-09 2.5000% 0.6849
2021-09-08 2.5000% 0.6849
2021-09-07 2.5000% 0.6849
2021-09-06 2.5000% 0.6849
2021-09-05 2.5000% 0.6849
2021-09-04 2.5000% 0.6849
2021-09-03 2.5000% 0.6849
2021-09-02 2.5000% 0.6849
2021-09-01 2.5000% 0.6849