产品名称:工银理财·鑫尊享私银尊享固定收益类封闭式理财产品(21GS3803)
产品代码:21GS3803 |
估值截止日
|
理财资产单位净值
|
2022-05-30
|
1.0091
|
2022-05-24
|
1.0089
|
2022-05-17
|
1.0086
|
2022-05-10
|
1.0082
|
2022-05-05
|
1.0078
|
2022-04-26
|
1.0073
|
2022-04-19
|
1.0067
|
2022-04-12
|
1.0063
|
2022-04-06
|
1.0058
|
2022-03-29
|
1.0052
|
2022-03-22
|
1.0048
|
2022-03-15
|
1.0046
|
2022-03-08
|
1.0050
|
2022-03-01
|
1.0064
|
2022-02-22
|
1.0060
|
2022-02-15
|
1.0080
|
2022-02-08
|
1.0094
|
2022-02-07
|
1.0104
|
2022-01-25
|
1.0110
|
2022-01-18
|
1.0136
|
2022-01-11
|
1.0108
|
2022-01-04
|
1.0146
|
2021-12-28
|
1.0139
|
2021-12-21
|
1.0120
|
2021-12-14
|
1.0146
|
2021-12-07
|
1.0120
|
2021-11-30
|
1.0111
|
2021-11-23
|
1.0120
|
2021-11-16
|
1.0106
|
2021-11-09
|
1.0085
|
2021-11-02
|
1.0081
|
2021-10-26
|
1.0096
|
2021-10-19
|
1.0074
|
2021-10-12
|
1.0069
|
2021-10-08
|
1.0066
|
2021-09-28
|
1.0057
|
2021-09-22
|
1.0065
|
2021-09-14
|
1.0079
|
2021-09-07
|
1.0073
|
2021-08-31
|
1.0068
|
2021-08-24
|
1.0058
|
2021-08-17
|
1.0069
|
2021-08-10
|
1.0067
|
2021-08-03
|
1.0062
|
2021-07-27
|
1.0049
|
2021-07-20
|
1.0063
|
2021-07-13
|
1.0059
|
2021-07-06
|
1.0052
|
2021-06-29
|
1.0044
|
2021-06-08
|
1.0040
|
2021-06-01
|
1.0037
|
2021-05-25
|
1.0034
|
2021-05-18
|
1.0032
|
2021-05-11
|
1.0030
|
2021-05-06
|
1.0028
|
2021-04-27
|
1.0025
|
2021-04-20
|
1.0022
|
2021-04-13
|
1.0020
|
2021-04-06
|
1.0016
|
2021-03-30
|
1.0010
|
2021-03-23
|
1.0007
|
2021-03-16
|
1.0005
|
2021-03-09
|
1.0002
|
|