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产品简称:
兴银理财甄合开放式364号固收类理财产品(代销兴银理财)
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理财产品登记编码:
Z7002025001329
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产品代码:
9ZH8364A
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发售起始日期:
2025-08-26
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销售渠道:
手机银行,微信银行,网上银行,柜面
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发售截止日期:
2025-09-02
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销售对象:
个人客户
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产品到期日:
2099-01-06
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风险评级:
R2中低风险
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币种:
人民币
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适合购买的客户:
风险评级为C2稳健型、C3平衡型、C4积极型、C5激进型的客户
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本产品由兴银理财发行与管理,广东南粤银行不承担产品的投资、兑付和风险管理责任
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| 净值日期 | 单位净值 | 累计净值 |
|---|---|---|
| 20260506 | 1.01566 | 1.01566 |
| 20260428 | 1.01511 | 1.01511 |
| 20260421 | 1.01448 | 1.01448 |
| 20260414 | 1.01414 | 1.01414 |
| 20260407 | 1.01343 | 1.01343 |
| 20260331 | 1.01322 | 1.01322 |
| 20260324 | 1.01253 | 1.01253 |
| 20260317 | 1.01174 | 1.01174 |
| 20260310 | 1.01161 | 1.01161 |
| 20260303 | 1.01098 | 1.01098 |
| 20260228 | 1.01083 | 1.01083 |
| 20260224 | 1.01068 | 1.01068 |
| 20260210 | 1.01039 | 1.01039 |
| 20260203 | 1.00999 | 1.00999 |
| 20260127 | 1.00813 | 1.00813 |
| 20260120 | 1.00764 | 1.00764 |
| 20260113 | 1.00696 | 1.00696 |
| 20260106 | 1.00693 | 1.00693 |
| 20251231 | 1.0067 | 1.0067 |
| 20251230 | 1.00662 | 1.00662 |
| 20251223 | 1.00612 | 1.00612 |
| 20251216 | 1.00637 | 1.00637 |
| 20251209 | 1.00616 | 1.00616 |
| 20251202 | 1.00519 | 1.00519 |
| 20251125 | 1.00447 | 1.00447 |
| 20251118 | 1.00417 | 1.00417 |
| 20251111 | 1.00378 | 1.00378 |
| 20251104 | 1.00356 | 1.00356 |
| 20251031 | 1.00295 | 1.00295 |
| 20251028 | 1.00288 | 1.00288 |
| 20251021 | 1.00238 | 1.00238 |
| 20251014 | 1.00199 | 1.00199 |
| 20251009 | 1.00171 | 1.00171 |
| 20250930 | 1.00135 | 1.00135 |
| 20250923 | 1.00069 | 1.00069 |
| 20250916 | 1.00054 | 1.00054 |
| 20250909 | 1.00023 | 1.00023 |
| 20250903 | 1 | 1 |
| 20250902 | 1 | 1 |
| 20250901 | 1 | 1 |
| 20250829 | 1 | 1 |
| 20250828 | 1 | 1 |
| 20250827 | 1 | 1 |
| 20250826 | 1 | 1 |
| 20250825 | 1 | 1 |