尊敬的投资者:
截止2019年4月26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(2018011期) |
CYBF18011 |
518,430,365.81 |
1.0369 |
“长盈聚金”白金专属封闭式净值型理财计划(2018012期) |
CYBF18012 |
517,124,316.70 |
1.0342 |
“长盈聚金”白金专属封闭式净值型理财计划(2018013期) |
CYBF18013 |
514,702,511.22 |
1.0294 |
“长盈聚金”白金专属封闭式净值型理财计划(2018014期) |
CYBF18014 |
511,929,409.52 |
1.0266 |
“长盈聚金”白金专属封闭式净值型理财计划(2018015期) |
CYBF18015 |
513,327,393.68 |
1.0269 |
“长盈聚金”白金专属封闭式净值型理财计划(2018016期) |
CYBF18016 |
511,656,739.53 |
1.0234 |
“长盈聚金”白金专属封闭式净值型理财计划(2018017期) |
CYBF18017 |
494,363,917.74 |
1.0239 |
“长盈聚金”白金专属封闭式净值型理财计划(2018018期) |
CYBF18018 |
428,343,621.07 |
1.0195 |
“长盈聚金”白金专属封闭式净值型理财计划(2018019期) |
CYBF18019 |
323,234,900.00 |
1.0186 |
“长盈聚金”白金专属封闭式净值型理财计划(2018020期) |
CYBF18020 |
149,804,876.85 |
1.0208 |
“长盈聚金”白金专属封闭式净值型理财计划(2018021期) |
CYBF18021 |
329,975,315.05 |
1.0213 |
“长盈聚金”白金专属封闭式净值型理财计划(2018022期) |
CYBF18022 |
248,379,877.65 |
1.0162 |
“长盈聚金”白金专属封闭式净值型理财计划(2018023期) |
CYBF18023 |
59,237,994.05 |
1.0220 |
“长盈聚金”白金专属封闭式净值型理财计划(2018024期) |
CYBF18024 |
314,558,846.45 |
1.0156 |
“长盈聚金”白金专属封闭式净值型理财计划(2018025期) |
CYBF18025 |
326,662,837.06 |
1.0113 |
“长盈聚金”白金专属封闭式净值型理财计划(2018026期) |
CYBF18026 |
101,171,981.04 |
1.0147 |
“长盈聚金”白金专属封闭式净值型理财计划(2018027期) |
CYBF18027 |
319,813,604.27 |
1.0103 |
“长盈聚金”白金专属封闭式净值型理财计划(2018028期) |
CYBF18028 |
274,232,740.69 |
1.0092 |
“长盈聚金”白金专属封闭式净值型理财计划(2018029期) |
CYBF18029 |
77,898,455.25 |
1.0125 |
“长盈聚金”白金专属封闭式净值型理财计划(2018030期) |
CYBF18030 |
353,943,469.31 |
1.0082 |
“长盈聚金”白金专属封闭式净值型理财计划(2019001期) |
CYBF19001 |
302,413,561.33 |
1.0059 |
“长盈聚金”白金专属封闭式净值型理财计划(2019002期) |
CYBF19002 |
117,265,382.04 |
1.0087 |
“长盈聚金”白金专属封闭式净值型理财计划(2019003期) |
CYBF19003 |
225,773,995.13 |
1.0047 |
“长盈聚金”白金专属封闭式净值型理财计划(2019004期) |
CYBF19004 |
502,121,553.27 |
1.0042 |
“长盈聚金”白金专属封闭式净值型理财计划(2019005期) |
CYBF19005 |
148,478,224.56 |
1.0075 |
“长盈聚金”白金专属封闭式净值型理财计划(2019006期) |
CYBF19006 |
502,212,396.95 |
1.0045 |
“长盈聚金”白金专属封闭式净值型理财计划(2019007期) |
CYBF19007 |
502,491,158.65 |
1.0050 |
“长盈聚金”白金专属封闭式净值型理财计划(2019008期) |
CYBF19008 |
182,883,589.32 |
1.0091 |
“长盈聚金”白金专属封闭式净值型理财计划(2019009期) |
CYBF19009 |
441,550,128.19 |
1.0036 |
“长盈聚金”白金专属封闭式净值型理财计划(2019010期) |
CYBF19010 |
426,559,617.85 |
1.0065 |
“长盈聚金”白金专属封闭式净值型理财计划(2019011期) |
CYBF19011 |
150,889,370.63 |
1.0060 |
“长盈聚金”白金专属封闭式净值型理财计划(2019012期) |
CYBF19012 |
458,072,671.38 |
1.0046 |
“长盈聚金”白金专属封闭式净值型理财计划(2019013期) |
CYBF19013 |
499,893,334.81 |
0.9999 |
“长盈聚金”白金专属封闭式净值型理财计划(2019014期) |
CYBF19014 |
146,954,612.03 |
0.9999 |
“长盈聚金”白金专属封闭式净值型理财计划(2019015期) |
CYBF19015 |
232,023,747.83 |
1.0003 |
“长盈聚金”白金专属封闭式净值型理财计划(2019016期) |
CYBF19016 |
402,517,268.96 |
1.0006 |
“长盈聚金”白金专属封闭式净值型理财计划(2019017期) |
CYBF19017 |
159,501,703.96 |
1.0006 |
“长盈聚金”白金专属封闭式净值型理财计划(2019018期) |
CYBF19018 |
290,621,196.95 |
0.9999 |
“长盛理财”季季稳利封闭式净值型理财计划(2018007期) |
CSJF18007 |
504,555,843.01 |
1.0091 |
“长盛理财”季季稳利封闭式净值型理财计划(2019001期) |
CSJF19001 |
203,074,695.85 |
1.0081 |
“长盛理财”季季稳利封闭式净值型理财计划(2019002期) |
CSJF19002 |
240,538,535.21 |
1.0071 |
“长盛理财”季季稳利封闭式净值型理财计划(2019003期) |
CSJF19003 |
222,061,959.61 |
1.0051 |
“长盛理财”季季稳利封闭式净值型理财计划(2019004期) |
CSJF19004 |
217,813,910.53 |
1.0067 |
感谢投资者对长安银行的信赖与支持!