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产品简称:
春系列全球配置30天持有期3号N类份额(南粤专属)(代销北银理财)
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理财产品登记编码:
Z7008926000507
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产品代码:
YJ01260789N
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募集起始日期:
2026-07-10
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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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募集截止日期:
2026-07-16
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销售对象:
个人客户
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币种:
人民币
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风险评级:
R2中低风险
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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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本产品由北银理财发行与管理,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 |
|---|---|---|
| 20260928 | 1.005615 | 1.005615 |
| 20260924 | 1.005488 | 1.005488 |
| 20260923 | 1.005349 | 1.005349 |
| 20260922 | 1.005252 | 1.005252 |
| 20260921 | 1.005062 | 1.005062 |
| 20260918 | 1.004792 | 1.004792 |
| 20260917 | 1.004653 | 1.004653 |
| 20260916 | 1.004536 | 1.004536 |
| 20260915 | 1.004458 | 1.004458 |
| 20260914 | 1.004353 | 1.004353 |
| 20260911 | 1.004325 | 1.004325 |
| 20260910 | 1.004306 | 1.004306 |
| 20260909 | 1.004271 | 1.004271 |
| 20260908 | 1.004202 | 1.004202 |
| 20260907 | 1.004053 | 1.004053 |
| 20260904 | 1.00396 | 1.00396 |
| 20260903 | 1.00381 | 1.00381 |
| 20260902 | 1.003786 | 1.003786 |
| 20260901 | 1.00372 | 1.00372 |
| 20260831 | 1.003573 | 1.003573 |
| 20260828 | 1.00355 | 1.00355 |
| 20260827 | 1.003543 | 1.003543 |
| 20260826 | 1.003516 | 1.003516 |
| 20260825 | 1.003146 | 1.003146 |
| 20260824 | 1.003001 | 1.003001 |
| 20260821 | 1.002909 | 1.002909 |
| 20260820 | 1.002887 | 1.002887 |
| 20260819 | 1.003007 | 1.003007 |
| 20260818 | 1.002905 | 1.002905 |
| 20260817 | 1.002551 | 1.002551 |
| 20260814 | 1.002395 | 1.002395 |
| 20260813 | 1.002266 | 1.002266 |
| 20260812 | 1.002231 | 1.002231 |
| 20260811 | 1.002213 | 1.002213 |
| 20260810 | 1.002017 | 1.002017 |
| 20260807 | 1.001871 | 1.001871 |
| 20260806 | 1.001773 | 1.001773 |
| 20260805 | 1.001668 | 1.001668 |
| 20260804 | 1.001297 | 1.001297 |
| 20260803 | 1.001172 | 1.001172 |
| 20260731 | 1.001024 | 1.001024 |
| 20260730 | 1.000764 | 1.000764 |
| 20260729 | 1.000553 | 1.000553 |
| 20260728 | 1.000518 | 1.000518 |
| 20260727 | 1.000212 | 1.000212 |
| 20260724 | 1.000152 | 1.000152 |
| 20260723 | 1.000051 | 1.000051 |
| 20260722 | 1 | 1 |
| 20260721 | 1 | 1 |
| 20260720 | 1 | 1 |