尊敬的投资者:
截止2019年3月8日,长安银行封闭式净值型理财产品净值公布如下:
产品名称 |
产品代码 |
资产净值 |
单位净值 |
“长盈聚金”白金专属封闭式净值型理财计划(2018006期) |
CYBF18006 |
503,500,947.70 |
1.0377 |
“长盈聚金”白金专属封闭式净值型理财计划(2018007期) |
CYBF18007 |
391,319,597.77 |
1.0333 |
“长盈聚金”白金专属封闭式净值型理财计划(2018008期) |
CYBF18008 |
415,953,495.30 |
1.0339 |
“长盈聚金”白金专属封闭式净值型理财计划(2018010期) |
CYBF18010 |
515,661,824.16 |
1.0313 |
“长盈聚金”白金专属封闭式净值型理财计划(2018011期) |
CYBF18011 |
515,491,855.70 |
1.0310 |
“长盈聚金”白金专属封闭式净值型理财计划(2018012期) |
CYBF18012 |
515,018,811.49 |
1.0300 |
“长盈聚金”白金专属封闭式净值型理财计划(2018013期) |
CYBF18013 |
512,104,527.30 |
1.0242 |
“长盈聚金”白金专属封闭式净值型理财计划(2018014期) |
CYBF18014 |
509,859,924.47 |
1.0224 |
“长盈聚金”白金专属封闭式净值型理财计划(2018015期) |
CYBF18015 |
511,329,787.42 |
1.0229 |
“长盈聚金”白金专属封闭式净值型理财计划(2018016期) |
CYBF18016 |
509,820,921.72 |
1.0197 |
“长盈聚金”白金专属封闭式净值型理财计划(2018017期) |
CYBF18017 |
491,774,015.24 |
1.0186 |
“长盈聚金”白金专属封闭式净值型理财计划(2018018期) |
CYBF18018 |
426,028,893.55 |
1.0140 |
“长盈聚金”白金专属封闭式净值型理财计划(2018019期) |
CYBF18019 |
321,466,876.71 |
1.0130 |
“长盈聚金”白金专属封闭式净值型理财计划(2018020期) |
CYBF18020 |
148,523,504.58 |
1.0121 |
“长盈聚金”白金专属封闭式净值型理财计划(2018021期) |
CYBF18021 |
328,253,660.39 |
1.0160 |
“长盈聚金”白金专属封闭式净值型理财计划(2018022期) |
CYBF18022 |
247,241,403.11 |
1.0116 |
“长盈聚金”白金专属封闭式净值型理财计划(2018023期) |
CYBF18023 |
58,745,238.65 |
1.0135 |
“长盈聚金”白金专属封闭式净值型理财计划(2018024期) |
CYBF18024 |
312,648,114.68 |
1.0095 |
“长盈聚金”白金专属封闭式净值型理财计划(2018025期) |
CYBF18025 |
324,965,372.16 |
1.0061 |
“长盈聚金”白金专属封闭式净值型理财计划(2018026期) |
CYBF18026 |
100,387,802.56 |
1.0068 |
“长盈聚金”白金专属封闭式净值型理财计划(2018027期) |
CYBF18027 |
318,466,297.41 |
1.0060 |
“长盈聚金”白金专属封闭式净值型理财计划(2018028期) |
CYBF18028 |
272,999,702.38 |
1.0047 |
“长盈聚金”白金专属封闭式净值型理财计划(2018029期) |
CYBF18029 |
77,286,111.12 |
1.0045 |
“长盈聚金”白金专属封闭式净值型理财计划(2018030期) |
CYBF18030 |
352,411,239.15 |
1.0038 |
“长盈聚金”白金专属封闭式净值型理财计划(2019001期) |
CYBF19001 |
301,007,462.25 |
1.0012 |
“长盈聚金”白金专属封闭式净值型理财计划(2019002期) |
CYBF19002 |
116,307,493.20 |
1.0005 |
“长盈聚金”白金专属封闭式净值型理财计划(2019003期) |
CYBF19003 |
224,774,170.00 |
1.0003 |
“长盈聚金”白金专属封闭式净值型理财计划(2019004期) |
CYBF19004 |
499,600,666.44 |
0.9992 |
“长盈聚金”白金专属封闭式净值型理财计划(2019005期) |
CYBF19005 |
147,122,446.42 |
0.9983 |
“长盈聚金”白金专属封闭式净值型理财计划(2019006期) |
CYBF19006 |
499,868,608.59 |
0.9998 |
“长盈聚金”白金专属封闭式净值型理财计划(2019007期) |
CYBF19007 |
500,146,051.70 |
1.0003 |
“长盈聚金”白金专属封闭式净值型理财计划(2019008期) |
CYBF19008 |
181,242,000.00 |
1.0000 |
“长盛理财”季季稳利封闭式净值型理财计划(2018001期) |
CSJF18001 |
103,664,835.19 |
1.0111 |
“长盛理财”季季稳利封闭式净值型理财计划(2018002期) |
CSJF18002 |
75,089,775.33 |
1.0102 |
“长盛理财”季季稳利封闭式净值型理财计划(2018003期) |
CSJF18003 |
124,405,108.90 |
1.0065 |
“长盛理财”季季稳利封闭式净值型理财计划(2018004期) |
CSJF18004 |
271,000,768.25 |
1.0042 |
“长盛理财”季季稳利封闭式净值型理财计划(2018005期) |
CSJF18005 |
501,932,486.45 |
1.0039 |
“长盛理财”季季稳利封闭式净值型理财计划(2018006期) |
CSJF18006 |
501,835,108.52 |
1.0037 |
“长盛理财”季季稳利封闭式净值型理财计划(2018007期) |
CSJF18007 |
501,413,887.47 |
1.0029 |
“长盛理财”季季稳利封闭式净值型理财计划(2019001期) |
CSJF19001 |
201,751,057.24 |
1.0015 |
“长盛理财”季季稳利封闭式净值型理财计划(2019002期) |
CSJF19002 |
239,010,092.24 |
1.0007 |
“长盛理财”季季稳利封闭式净值型理财计划(2019003期) |
CSJF19003 |
220,962,540.15 |
1.0002 |
“长盛理财”季季稳利封闭式净值型理财计划(2019004期) |
CSJF19004 |
216,455,307.64 |
1.0004 |
感谢投资者对长安银行的信赖与支持!