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,2026年3月18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 |
1.14973579 |
1.14973579 |
593,947,436.03 |
3.62% |
2.37% |
| W10501A |
泉心盈105天1号A款 |
1.11318064 |
1.11318064 |
276,486,336.35 |
3.76% |
2.57% |
| W10501B |
泉心盈105天1号B款 |
1.11713394 |
1.11713394 |
394,414,862.24 |
3.86% |
2.67% |
| W10502A |
泉心盈105天2号A款 |
1.10920247 |
1.10920247 |
152,424,255.48 |
3.48% |
2.46% |
| W10502B |
泉心盈105天2号B款 |
1.11311101 |
1.11311101 |
228,555,962.83 |
3.58% |
2.56% |
| W10503A |
泉心盈105天3号A款 |
1.10734626 |
1.10734626 |
448,777,189.48 |
2.72% |
2.48% |
| W10503B |
泉心盈105天3号B款 |
1.11120099 |
1.11120099 |
192,674,200.50 |
2.82% |
2.58% |
| W10504A |
泉心盈105天4号A款 |
1.10866717 |
1.10866717 |
221,744,178.80 |
4.56% |
2.54% |
| W10504B |
泉心盈105天4号B款 |
1.112487 |
1.112487 |
267,265,698.20 |
4.66% |
2.64% |
| W10505A |
泉心盈105天5号A款 |
1.10389575 |
1.10389575 |
200,241,547.76 |
2.94% |
2.41% |
| W10505B |
泉心盈105天5号B款 |
1.10758939 |
1.10758939 |
194,511,303.62 |
3.04% |
2.51% |
| W10506A |
泉心盈105天6号A款 |
1.09903992 |
1.09903992 |
108,592,532.58 |
3.26% |
2.25% |
| W10506B |
泉心盈105天6号B款 |
1.10269164 |
1.10269164 |
174,191,297.11 |
3.36% |
2.35% |
| W10507A |
泉心盈105天7号A款 |
1.10297767 |
1.10297767 |
339,772,394.89 |
2.56% |
2.19% |
| W10507B |
泉心盈105天7号B款 |
1.10664501 |
1.10664501 |
464,883,275.46 |
2.66% |
2.29% |
| W10508A |
泉心盈105天8号A款 |
1.10520918 |
1.10520918 |
343,966,873.32 |
2.6% |
2.34% |
| W10508B |
泉心盈105天8号B款 |
1.10886926 |
1.10886926 |
510,092,888.27 |
2.7% |
2.44% |
| W2100035 |
泉心盈35天 |
1.1484787 |
1.1484787 |
5,379,758,995.51 |
3.09% |
2.48% |
| W2100091 |
泉心盈91天 |
1.15545257 |
1.15545257 |
3,809,662,631.43 |
3.2% |
2.33% |
| W210182D |
泉心盈182天净值型 |
1.15071345 |
1.15071345 |
3,224,072,600.69 |
3.4% |
2.35% |
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
2026年3月19日

