产品管理人:
产品系列:
产品代码:
产品代码
|
产品名称
|
业绩比较基准(年率%)
|
到期收益率(年率%)
|
产品起息日
|
产品到期日
|
920091
|
聚益生金私行91天C
|
2.98000
|
2.98000
|
2024-02-20
|
2024-05-21
|
920091
|
聚益生金私行91天C
|
2.98000
|
2.98000
|
2024-02-18
|
2024-05-20
|
920091
|
聚益生金私行91天C
|
2.98000
|
2.98000
|
2024-02-06
|
2024-05-07
|
920091
|
聚益生金私行91天C
|
2.98000
|
2.98000
|
2024-01-30
|
2024-04-30
|
920091
|
聚益生金私行91天C
|
2.98000
|
2.98000
|
2024-01-23
|
2024-04-23
|
920091
|
聚益生金私行91天C
|
3.01000
|
3.01000
|
2024-01-16
|
2024-04-16
|
920091
|
聚益生金私行91天C
|
3.01000
|
3.01000
|
2024-01-09
|
2024-04-09
|
920091
|
聚益生金私行91天C
|
3.01000
|
3.01000
|
2024-01-02
|
2024-04-02
|
920091
|
聚益生金私行91天C
|
3.01000
|
3.01000
|
2023-12-26
|
2024-03-26
|
920091
|
聚益生金私行91天C
|
3.01000
|
3.01000
|
2023-12-19
|
2024-03-19
|
产品代码
|
产品名称
|
组合投资收益率(年率%)
|
投资日期
|
920091
|
聚益生金私行91天C
|
3.2100
|
20240702
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240701
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240630
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240629
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240628
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240627
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240626
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240625
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240624
|
920091
|
聚益生金私行91天C
|
3.2300
|
20240623
|
注:组合投资收益率仅为组合当日投资收益率,当日产品收益率请您阅读产品说明书相关条款。