产品名称:工银理财·恒睿睿益私银尊享固定收益类1年定期开放式理财产品1号20GS6820
产品代码:20GS6820 |
估值截止日
|
理财资产单位净值
|
2021-12-15
|
1.0493
|
2021-12-08
|
1.0488
|
2021-12-01
|
1.0472
|
2021-11-24
|
1.0476
|
2021-11-17
|
1.0457
|
2021-11-10
|
1.0440
|
2021-11-03
|
1.0430
|
2021-10-27
|
1.0427
|
2021-10-20
|
1.0422
|
2021-10-13
|
1.0414
|
2021-10-08
|
1.0407
|
2021-09-29
|
1.0395
|
2021-09-22
|
1.0418
|
2021-09-15
|
1.0433
|
2021-09-08
|
1.0436
|
2021-09-01
|
1.0393
|
2021-08-25
|
1.0395
|
2021-08-18
|
1.0379
|
2021-08-11
|
1.0398
|
2021-08-04
|
1.0384
|
2021-07-28
|
1.0352
|
2021-07-21
|
1.0390
|
2021-07-14
|
1.0372
|
2021-07-07
|
1.0364
|
2021-06-30
|
1.0371
|
2021-06-16
|
1.0325
|
2021-06-09
|
1.0339
|
2021-06-02
|
1.0341
|
2021-05-26
|
1.0334
|
2021-05-19
|
1.0322
|
2021-05-12
|
1.0301
|
2021-05-06
|
1.0305
|
2021-04-28
|
1.0304
|
2021-04-21
|
1.0292
|
2021-04-14
|
1.0269
|
2021-04-07
|
1.0270
|
2021-03-31
|
1.0258
|
2021-03-24
|
1.0238
|
2021-03-17
|
1.0247
|
2021-03-10
|
1.0233
|
2021-03-03
|
1.0274
|
2021-02-24
|
1.0269
|
2021-02-18
|
1.0296
|
2021-02-10
|
1.0296
|
2021-02-03
|
1.0271
|
2021-01-27
|
1.0273
|
2021-01-20
|
1.0251
|
2021-01-13
|
1.0248
|
2021-01-06
|
1.0227
|
2020-12-30
|
1.0161
|
2020-12-23
|
1.0132
|
2020-12-16
|
1.0108
|
2020-12-09
|
1.0103
|
2020-12-02
|
1.0116
|
2020-11-25
|
1.0082
|
2020-11-18
|
1.0083
|
2020-11-11
|
1.0096
|
2020-11-04
|
1.0080
|
2020-10-28
|
1.0065
|
2020-10-21
|
1.0071
|
2020-10-14
|
1.0071
|
2020-09-30
|
1.0019
|
2020-09-23
|
1.0030
|
2020-09-16
|
1.0026
|
2020-09-09
|
1.0017
|
2020-09-02
|
1.0049
|
2020-08-26
|
1.0035
|
2020-08-19
|
1.0034
|
2020-08-12
|
1.0019
|
2020-08-05
|
1.0040
|
2020-07-29
|
1.0023
|
2020-07-22
|
1.0023
|
2020-07-15
|
1.0025
|
2020-07-08
|
1.0008
|
|