尊敬的客户:
中国建设银行“乾元—恒赢”(30天)周期型开放式净值型人民币理财产品(产品编号GD07HYMX2019003M1)净值公布如下:
净值日期 |
份额净值 |
份额累计净值 |
申购价格 |
兑付价格 |
近七日年化收益率 |
2021.4.5 |
1.063615 |
1.063615 |
- |
- |
2.86% |
2021.4.4 |
1.063533 |
1.063533 |
- |
- |
2.90% |
2021.4.3 |
1.063451 |
1.063451 |
|
|
2.92% |
2021.4.2 |
1.063369 |
1.063369 |
- |
- |
2.93% |
2021.4.1 |
1.063311 |
1.063311 |
1.063615 |
1.063615 |
3.07% |
2021.3.31 |
1.063221 |
1.063221 |
1.063311 |
1.063311 |
3.05% |
2021.3.30 |
1.063127 |
1.063127 |
1.063221 |
1.063221 |
3.02% |
2021.3.29 |
1.063032 |
1.063032 |
1.063127 |
1.063127 |
2.98% |
2021.3.28 |
1.062942 |
1.062942 |
- |
1.063032 |
3.06% |
2021.3.27 |
1.062856 |
1.062856 |
- |
1.063032 |
3.07% |
2021.3.26 |
1.062771 |
1.062771 |
1.063032 |
1.063032 |
3.09% |
2021.3.25 |
1.062685 |
1.062685 |
1.062942 |
1.062942 |
3.10% |
2021.3.24 |
1.062599 |
1.062599 |
1.062685 |
1.062685 |
3.12% |
2021.3.23 |
1.062512 |
1.062512 |
1.062599 |
1.062599 |
3.12% |
中国建设银行股份有限公司
2021年04月06日