齐鲁银行客户周期净值型理财产品净值公告
尊敬的投资者:
齐鲁银行客户周期净值型理财产品运作状况良好,2025年9月4日各产品净值公布如下:
产品编号 |
产品名称 |
产品单位净值 |
产品累计净值 |
资产净值 |
当日年化收益率 |
七日年化收益率 |
GY210006 |
畅盈九州稳赢6号 |
1.13475291 |
1.13475291 |
571,262,786.76 |
0.35% |
2.43% |
W19601A |
泉心盈196天1号A款 |
1.10019361 |
1.10019361 |
260,323,341.35 |
7.35% |
3.39% |
W19601B |
泉心盈196天1号B款 |
1.10352164 |
1.10352164 |
479,775,057.60 |
7.37% |
3.48% |
W19602A |
泉心盈196天2号A款 |
1.10172911 |
1.10172911 |
441,645,987.78 |
6.79% |
3.33% |
W19602B |
泉心盈196天2号B款 |
1.1050005 |
1.1050005 |
703,877,274.27 |
6.89% |
3.43% |
W19603A |
泉心盈196天3号A款 |
1.09613222 |
1.09613222 |
325,561,933.57 |
-2.19% |
1.76% |
W19603B |
泉心盈196天3号B款 |
1.09940852 |
1.09940852 |
364,338,135.22 |
-2.09% |
1.86% |
W19604A |
泉心盈196天4号A款 |
1.09121443 |
1.09121443 |
229,705,977.61 |
4.25% |
1.58% |
W19604B |
泉心盈196天4号B款 |
1.09437174 |
1.09437174 |
343,337,577.97 |
4.35% |
1.68% |
W19605A |
泉心盈196天5号A款 |
1.09430872 |
1.09430872 |
380,052,504.41 |
3.68% |
2.45% |
W19605B |
泉心盈196天5号B款 |
1.09744391 |
1.09744391 |
531,833,892.36 |
3.78% |
2.55% |
W19606A |
泉心盈196天6号A款 |
1.09312774 |
1.09312774 |
316,245,764.34 |
5.9% |
3.3% |
W19606B |
泉心盈196天6号B款 |
1.09621643 |
1.09621643 |
511,849,089.71 |
6.0% |
3.4% |
W19607A |
泉心盈196天7号A款 |
1.09557901 |
1.09557901 |
207,383,886.04 |
2.98% |
4.8% |
W19607B |
泉心盈196天7号B款 |
1.09864351 |
1.09864351 |
313,680,108.04 |
3.08% |
4.9% |
W19608A |
泉心盈196天8号A款 |
1.09740563 |
1.09740563 |
124,504,450.00 |
3.34% |
2.37% |
W19608B |
泉心盈196天8号B款 |
1.10053769 |
1.10053769 |
153,681,250.49 |
3.44% |
2.47% |
W19609A |
泉心盈196天9号A款 |
1.0950309 |
1.0950309 |
99,533,191.65 |
2.62% |
2.43% |
W19609B |
泉心盈196天9号B款 |
1.09800288 |
1.09800288 |
200,505,652.63 |
2.72% |
2.53% |
W19610A |
泉心盈196天10号A款 |
1.0941769 |
1.0941769 |
238,721,814.96 |
5.9% |
2.52% |
W19610B |
泉心盈196天10号B款 |
1.09710257 |
1.09710257 |
351,520,245.78 |
6.0% |
2.62% |
W19611A |
泉心盈196天11号A款 |
1.08583146 |
1.08583146 |
174,901,592.88 |
3.24% |
2.67% |
W19611B |
泉心盈196天11号B款 |
1.0886907 |
1.0886907 |
306,118,916.56 |
3.34% |
2.76% |
W19612A |
泉心盈196天12号A款 |
1.08106761 |
1.08106761 |
121,320,645.49 |
5.01% |
3.04% |
W19612B |
泉心盈196天12号B款 |
1.08386504 |
1.08386504 |
245,551,633.97 |
5.11% |
3.14% |
W19613A |
泉心盈196天13号A款 |
1.08259928 |
1.08259928 |
271,250,025.25 |
10.31% |
3.47% |
W19613B |
泉心盈196天13号B款 |
1.08538791 |
1.08538791 |
527,980,434.75 |
10.41% |
3.57% |
W19614A |
泉心盈196天14号A款 |
1.08297655 |
1.08297655 |
248,407,895.42 |
6.67% |
3.09% |
W19614B |
泉心盈196天14号B款 |
1.08570527 |
1.08570527 |
375,145,187.54 |
6.77% |
3.19% |
W2100035 |
泉心盈35天 |
1.13487352 |
1.13487352 |
5,279,978,603.45 |
2.87% |
2.81% |
W2100091 |
泉心盈91天 |
1.14144677 |
1.14144677 |
5,109,059,474.12 |
3.53% |
2.96% |
W210182D |
泉心盈182天净值型 |
1.13887258 |
1.13887258 |
6,646,687,224.28 |
3.53% |
2.84% |
备注:认(申)购价格和赎回价格即为产品份额净值。
齐鲁银行股份有限公司
2025年9月5日