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创鑫202期364天(新客户)

产品代码:CX2020DX202364D 产品名称:创鑫202期364天(新客户)
认购起始日期: 2020-11-03 认购结束日期: 2020-11-10
产品成立日: 2020-11-11 产品到期日: 2021-11-10
产品期限: 364天 业绩比较基准:请详见理财产品说明书
最新净值: 1.0494 >> 历史净值 风险等级:中低
收益特点:非保本浮动收益类 客户类型:个人
认购起点金额(元): 币种:人民币
销售渠道:银行柜台,智慧柜员机
产品类型:封闭式产品
销售机构:锦州分行,天津分行,沈阳分行,大连分行,哈尔滨分行,丹东分行,北京分行,抚顺分行,鞍山分行,朝阳分行,阜新分行,辽阳分行,葫芦岛分行,本溪分行,营口分行
  跳转至网银查询、购买理财产品    温馨提示:上述产品信息仅供参考,最终信息以产品说明书为准。
  温馨提示:上述产品信息仅供参考,最终信息以产品说明书为准。
产品名称 产品代码 产品净值 净值日期 资产净值
创鑫202期364天(新客户) CX2020DX202364D 1.0494 2021-11-03 88935600.60
创鑫202期364天(新客户) CX2020DX202364D 1.0485 2021-10-27 88859326.50
创鑫202期364天(新客户) CX2020DX202364D 1.0475 2021-10-20 88774577.50
创鑫202期364天(新客户) CX2020DX202364D 1.0465 2021-10-13 88689828.50
创鑫202期364天(新客户) CX2020DX202364D 1.0458 2021-10-08 88630504.20
创鑫202期364天(新客户) CX2020DX202364D 1.0446 2021-09-29 0.00
创鑫202期364天(新客户) CX2020DX202364D 1.0436 2021-09-22 88444056.40
创鑫202期364天(新客户) CX2020DX202364D 1.0427 2021-09-15 0.00
创鑫202期364天(新客户) CX2020DX202364D 1.0417 2021-09-08 0.00
创鑫202期364天(新客户) CX2020DX202364D 1.0407 2021-09-01 0.00
创鑫202期364天(新客户) CX2020DX202364D 1.0398 2021-08-25 88122010.20
创鑫202期364天(新客户) CX2020DX202364D 1.0388 2021-08-18 88037261.20
创鑫202期364天(新客户) CX2020DX202364D 1.0378 2021-08-11 87952512.20
创鑫202期364天(新客户) CX2020DX202364D 1.0369 2021-08-04 87876238.10
创鑫202期364天(新客户) CX2020DX202364D 1.0359 2021-07-28 87791489.10
创鑫202期364天(新客户) CX2020DX202364D 1.0349 2021-07-21 87706740.10
创鑫202期364天(新客户) CX2020DX202364D 1.0340 2021-07-14 87630466.00
创鑫202期364天(新客户) CX2020DX202364D 1.0330 2021-07-07 87545717.00
创鑫202期364天(新客户) CX2020DX202364D 1.0320 2021-06-30 87460968.00
创鑫202期364天(新客户) CX2020DX202364D 1.0311 2021-06-23 87384693.90
创鑫202期364天(新客户) CX2020DX202364D 1.0301 2021-06-16 87299944.90
创鑫202期364天(新客户) CX2020DX202364D 1.0291 2021-06-09 87215195.90
创鑫202期364天(新客户) CX2020DX202364D 1.0282 2021-06-02 87138921.80
创鑫202期364天(新客户) CX2020DX202364D 1.0272 2021-05-26 87054172.80
创鑫202期364天(新客户) CX2020DX202364D 1.0262 2021-05-19 86969423.80
创鑫202期364天(新客户) CX2020DX202364D 1.0253 2021-05-12 86893149.70
创鑫202期364天(新客户) CX2020DX202364D 1.0243 2021-05-05 86808400.70
创鑫202期364天(新客户) CX2020DX202364D 1.0233 2021-04-28 86723651.70
创鑫202期364天(新客户) CX2020DX202364D 1.0224 2021-04-21 86647377.60
创鑫202期364天(新客户) CX2020DX202364D 1.0214 2021-04-14 86562628.60
创鑫202期364天(新客户) CX2020DX202364D 1.0204 2021-04-07 86477879.60
创鑫202期364天(新客户) CX2020DX202364D 1.0195 2021-03-31 86401605.50
创鑫202期364天(新客户) CX2020DX202364D 1.0185 2021-03-24 86316856.50
创鑫202期364天(新客户) CX2020DX202364D 1.0175 2021-03-17 86232107.50
创鑫202期364天(新客户) CX2020DX202364D 1.0166 2021-03-10 86155833.40
创鑫202期364天(新客户) CX2020DX202364D 1.0156 2021-03-03 86071084.40
创鑫202期364天(新客户) CX2020DX202364D 1.0146 2021-02-24 85986335.40
创鑫202期364天(新客户) CX2020DX202364D 1.0138 2021-02-18 85918536.20
创鑫202期364天(新客户) CX2020DX202364D 1.0127 2021-02-10 85825312.30
创鑫202期364天(新客户) CX2020DX202364D 1.0117 2021-02-03 85740563.30
创鑫202期364天(新客户) CX2020DX202364D 1.0108 2021-01-27 85664289.20
创鑫202期364天(新客户) CX2020DX202364D 1.0098 2021-01-20 85579540.20
创鑫202期364天(新客户) CX2020DX202364D 1.0088 2021-01-13 85494791.20
创鑫202期364天(新客户) CX2020DX202364D 1.0079 2021-01-06 85418517.10
创鑫202期364天(新客户) CX2020DX202364D 1.0069 2020-12-30 85333768.10
创鑫202期364天(新客户) CX2020DX202364D 1.0059 2020-12-23 85249019.10
创鑫202期364天(新客户) CX2020DX202364D 1.0050 2020-12-16 85172745.00
创鑫202期364天(新客户) CX2020DX202364D 1.0040 2020-12-09 85087996.00
创鑫202期364天(新客户) CX2020DX202364D 1.0030 2020-12-02 85003247.00
创鑫202期364天(新客户) CX2020DX202364D 1.0021 2020-11-25 84926972.90
创鑫202期364天(新客户) CX2020DX202364D 1.0011 2020-11-18 84842223.90
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