当前位置:

齐鲁银行“泉心理财”日日金理财产品净值公告

 

尊敬的投资者:                                    

“泉心理财”日日金人民币理财产品热销中,净值公布如下:

日期                                

单位净值

万份收益          

七日年化收益率

20210301                        

1.00000000

0.9072

3.40%

20210226                        

1.00000000

0.9341

3.32%

20210225                        

1.00000000

0.9133

3.29%

20210224                        

1.00000000

0.9127

3.28%

20210223                        

1.00000000

0.8919

3.29%

20210222                        

1.00000000

0.8736

3.30%

20210220                        

1.00000000

0.8697

3.36%