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绍兴银行金兰花周周盈1号理财产品净值公告

尊敬的客户:

我行发行的“绍兴银行金兰花周周盈1号理财产品”,现按照理财产品说明书进行投资运作,本产品的净值情况如下:

日期

单位净值

累计单位净值

2025-04-29

1.14284573

1.14284573

2025-04-28

1.14279251

1.14279251

2025-04-27

1.14273931

1.14273931

2025-04-26

1.14268609

1.14268609

2025-04-25

1.14263287

1.14263287

2025-04-24

1.14257966

1.14257966

2025-04-23

1.14252645

1.14252645

2025-04-22

1.14247324

1.14247324

2025-04-21

1.14242005

1.14242005

2025-04-20

1.14236686

1.14236686

2025-04-19

1.14231379

1.14231379

2025-04-18

1.14226394

1.14226394

2025-04-17

1.14220727

1.14220727

2025-04-16

1.14215407

1.14215407

2025-04-15

1.14210089

1.14210089

2025-04-14

1.14204771

1.14204771

2025-04-13

1.14199454

1.14199454

2025-04-12

1.14194183

1.14194183

2025-04-11

1.14189329

1.14189329

2025-04-10

1.14184371

1.14184371

2025-04-09

1.14178182

1.14178182

2025-04-08

1.14172000

1.14172000

2025-04-07

1.14167873

1.14167873

2025-04-06

1.14161368

1.14161368

2025-04-05

1.14156102

1.14156102

2025-04-04

1.14151087

1.14151087

2025-04-03

1.14147277

1.14147277

2025-04-02

1.14140103

1.14140103

2025-04-01

1.14133882

1.14133882

2025-03-31

1.14128719

1.14128719

2025-03-30

1.14122740

1.14122740

2025-03-29

1.14117425

1.14117425

2025-03-28

1.14112111

1.14112111

2025-03-27

1.14107056

1.14107056

2025-03-26

1.14101482

1.14101482

2025-03-25

1.14096489

1.14096489

2025-03-24

1.14091169

1.14091169

2025-03-23

1.14085547

1.14085547

2025-03-22

1.14080410

1.14080410

2025-03-21

1.14075974

1.14075974

2025-03-20

1.14070826

1.14070826

2025-03-19

1.14064294

1.14064294

2025-03-18

1.14058983

1.14058983

2025-03-17

1.14053672

1.14053672

2025-03-16

1.14048449

1.14048449

2025-03-15

1.14043281

1.14043281

2025-03-14

1.14038687

1.14038687

2025-03-13

1.14033816

1.14033816

2025-03-12

1.14027118

1.14027118

2025-03-11

1.14021402

1.14021402

2025-03-10

1.14015838

1.14015838

2025-03-09

1.14010529

1.14010529

2025-03-08

1.14005260

1.14005260

2025-03-07

1.13999911

1.13999911

2025-03-06

1.13994601

1.13994601

2025-03-05

1.13989292

1.13989292

2025-03-04

1.13984981

1.13984981

2025-03-03

1.13979261

1.13979261

2025-03-02

1.13973367

1.13973367

2025-03-01

1.13968158

1.13968158

2025-02-28

1.13963340

1.13963340

2025-02-27

1.13957948

1.13957948

2025-02-26

1.13952016

1.13952016

2025-02-25

1.13945898

1.13945898

2025-02-24

1.13939969

1.13939969

2025-02-23

1.13934039

1.13934039

2025-02-22

1.13928110

1.13928110

2025-02-21

1.13922180

1.13922180

2025-02-20

1.13916250

1.13916250

2025-02-19

1.13910321

1.13910321

2025-02-18

1.13904071

1.13904071

2025-02-17

1.13898143

1.13898143

2025-02-16

1.13892216

1.13892216

2025-02-15

1.13886288

1.13886288

2025-02-14

1.13880361

1.13880361

2025-02-13

1.13874433

1.13874433

2025-02-12

1.13868506

1.13868506

2025-02-11

1.13861929

1.13861929

2025-02-10

1.13856004

1.13856004

2025-02-09

1.13850079

1.13850079

2025-02-08

1.13844154

1.13844154

2025-02-07

1.13838750

1.13838750

2025-02-06

1.13832450

1.13832450

2025-02-05

1.13826378

1.13826378

2025-02-04

1.13820494

1.13820494

2025-02-03

1.13814571

1.13814571

2025-02-02

1.13808648

1.13808648

2025-02-01

1.13802725

1.13802725

2025-01-31

1.13796801

1.13796801

2025-01-30

1.13790871

1.13790871

注:本净值仅供参考使用,实际收益以产品到期兑付为准。

感谢您一直以来对我行的信任与支持!

                                 

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