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绍兴银行金兰花季季盈1号理财产品净值公告

尊敬的客户:

我行发行的“绍兴银行金兰花季季盈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

2025-08-27

1.06490531

1.06490531

2025-08-26

1.06487941

1.06487941

2025-08-25

1.06480733

1.06480733

2025-08-24

1.06477111

1.06477111

2025-08-23

1.06472332

1.06472332

2025-08-22

1.06467552

1.06467552

2025-08-21

1.06464121

1.06464121

2025-08-20

1.06461899

1.06461899

2025-08-19

1.06456702

1.06456702

2025-08-18

1.06452702

1.06452702

2025-08-17

1.0646578

1.0646578

2025-08-16

1.06461046

1.06461046

2025-08-15

1.06456312

1.06456312

2025-08-14

1.06454036

1.06454036

2025-08-13

1.06450460

1.06450460

2025-08-12

1.06446483

1.06446483

2025-08-11

1.06444295

1.06444295

2025-08-10

1.06447085

1.06447085

2025-08-09

1.06442410

1.06442410

2025-08-08

1.06437735

1.06437735

2025-08-07

1.06430011

1.06430011

2025-08-06

1.06424268

1.06424268

2025-08-05

1.06420757

1.06420757

2025-08-04

1.06417369

1.06417369

2025-08-03

1.06414726

1.06414726

2025-08-02

1.06410052

1.06410052

2025-08-01

1.06405379

1.06405379

2025-07-31

1.06398660

1.06398660

2025-07-30

1.06387628

1.06387628

2025-07-29

1.06380132

1.06380132

2025-07-28

1.06381946

1.06381946

2025-07-27

1.06376044

1.06376044

2025-07-26

1.06371383

1.06371383

2025-07-25

1.06366722

1.06366722

2025-07-24

1.06362537

1.06362537

2025-07-23

1.06367552

1.06367552

2025-07-22

1.06369762

1.06369762

2025-07-21

1.06365482

1.06365482

2025-07-20

1.06365457

1.06365457

2025-07-19

1.06360975

1.06360975

2025-07-18

1.06356493

1.06356493

2025-07-17

1.06351812

1.06351812

2025-07-16

1.06348129

1.06348129

2025-07-15

1.06341348

1.06341348

2025-07-14

1.06336371

1.06336371

2025-07-13

1.06336858

1.06336858

2025-07-12

1.06332356

1.06332356

2025-07-11

1.06327853

1.06327853

2025-07-10

1.06325946

1.06325946

2025-07-09

1.06324941

1.06324941

2025-07-08

1.06322617

1.06322617

2025-07-07

1.06320314

1.06320314

2025-07-06

1.06317110

1.06317110

2025-07-05

1.06312536

1.06312536

2025-07-04

1.06307961

1.06307961

2025-07-03

1.06303180

1.06303180

2025-07-02

1.06296645

1.06296645

2025-07-01

1.06285852

1.06285852

2025-06-30

1.06275709

1.06275709

2025-06-29

1.06270133

1.06270133

2025-06-28

1.06265607

1.06265607

2025-06-27

1.06260670

1.06260670

2025-06-26

1.06254919

1.06254919

2025-06-25

1.06254728

1.06254728

2025-06-24

1.06252105

1.06252105

2025-06-23

1.06249578

1.06249578

2025-06-22

1.06247782

1.06247782

2025-06-21

1.06243089

1.06243089

2025-06-20

1.06238395

1.06238395

2025-06-19

1.06233524

1.06233524

2025-06-18

1.06229362

1.06229362

2025-06-17

1.06224180

1.06224180

2025-06-16

1.06218521

1.06218521

2025-06-15

1.06216041

1.06216041

2025-06-14

1.06211251

1.06211251

2025-06-13

1.06206416

1.06206416

2025-06-12

1.06202640

1.06202640

2025-06-11

1.06200027

1.06200027

2025-06-10

1.06196615

1.06196615

2025-06-09

1.06192042

1.06192042

2025-06-08

1.06185737

1.06185737

2025-06-07

1.06180855

1.06180855

2025-06-06

1.06175974

1.06175974

2025-06-05

1.06166180

1.06166180

2025-06-04

1.06157871

1.06157871

2025-06-03

1.06153069

1.06153069

2025-06-02

1.06156358

1.06156358

2025-06-01

1.06151469

1.06151469

2025-05-31

1.06146580

1.06146580

2025-05-30

1.06141691

1.06141691

2025-05-29

1.06128687

1.06128687

2025-05-28

1.06124686

1.06124686

2025-05-27

1.06125069

1.06125069

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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