工银理财·恒睿私银固定收益类封闭净值型理财产品(20GS6806)
 
    产品名称:工银理财·恒睿私银固定收益类封闭净值型理财产品(20GS6806)
    产品代码:20GS6806
估值截止日
理财资产单位净值
2021-07-02
1.0411
2021-06-30
1.0414
2021-06-16
1.0401
2021-06-09
1.0397
2021-06-02
1.0397
2021-05-26
1.0392
2021-05-19
1.0386
2021-05-12
1.0363
2021-05-06
1.0366
2021-04-28
1.0367
2021-04-21
1.0351
2021-04-14
1.0317
2021-04-07
1.0327
2021-03-31
1.0963
2021-03-24
1.0268
2021-03-17
1.0298
2021-03-10
1.0267
2021-03-03
1.0376
2021-02-24
1.0368
2021-02-18
1.0448
2021-02-10
1.0452
2021-02-03
1.0387
2021-01-27
1.0388
2021-01-20
1.0370
2021-01-13
1.0366
2021-01-06
1.0338
2020-12-30
1.0258
2020-12-23
1.0225
2020-12-16
1.0203
2020-12-09
1.0193
2020-12-02
1.0208
2020-11-25
1.0159
2020-11-18
1.0159
2020-11-11
1.0177
2020-11-04
1.0157
2020-10-28
1.0129
2020-10-21
1.0136
2020-10-14
1.0143
2020-09-30
1.0060
2020-09-23
1.0083
2020-09-16
1.0073
2020-09-09
1.0048
2020-09-02
1.0131
2020-08-26
1.0094
2020-08-19
1.0096
2020-08-12
1.0064
2020-08-05
1.0108
2020-07-29
1.0071
2020-07-22
1.0072
2020-07-15
1.0076
2020-07-08
1.0062
  注:网站公布数据仅供参考,交易数据以实际网点公布为准。