邮银财富恒利·鸿运封闭式2024年第69期A人民币理财产品净值公告发布日期:2024-09-19,整合大数据解释落实 2024-10-21 • 百科 • 作者: admin 估值日期 产品份额净值(元) 产品累计份额净值(元) 产品资产净值(元) 2024-09-181.00631.0063281,520,944.972024-09-101.00581.0058281,355,657.192024-09-031.00531.0053281,220,388.412024-08-271.00481.0048281,078,452.932024-08-201.00441.0044280,975,318.292024-08-131.00391.0039280,834,185.072024-08-061.00351.0035280,711,462.812024-07-301.00291.0029280,560,994.222024-07-231.00221.0022280,359,998.52024-07-161.00161.0016280,203,745.222024-07-091.0011.001280,028,712.862024-07-021.00051.0005279,885,187.622024-06-301.00021.0002279,804,186.32024-06-281.00021.0002279,808,157.042024-06-2511- 免责声明:本文章由“知识和经验”发布如果文章侵权,请联系我们处理,本站仅提供信息存储空间服务如因作品内容、版权和其他问题请于本站联系