个人业务

“金紫薇”理财产品净值公告

副标题:

发布时间:2025-10-20

尊敬的投资者:

我行“金紫薇”理财产品正在热销中,净值情况如下:

日  期

产品代码

产品登记编码

单位净值

累计净值

申购价格

赎回价格

20251019

B20002

C1315820000034

1.19507238

1.19507238

1.19507238

1.19507238

20251019

B20003

C1315820000035

1.20166813

1.20166813

1.20166813

1.20166813

20251019

B20004

C1315820000036

1.19701337

1.19701337

1.19701337

1.19701337

20251019

B20006

C1315820000048

1.18015695

1.18015695

1.18015695

1.18015695

20251019

B20007

C1315820000049

1.19098876

1.19098876

1.19098876

1.19098876

20251019

B20009

C1315820000051

1.18910353

1.18910353

1.18910353

1.18910353

20251019

B23015

C1315823000015

1.08001471

1.08001471

1.08001471

1.08001471

20251019

C21001

C1315821000033

1.11639644

1.11639644

1.11639644

1.11639644

20251019

C21002

C1315821000034

1.13007068

1.13007068

1.13007068

1.13007068

20251019

C21003

C1315821000035

1.12691741

1.12691741

1.12691741

1.12691741

20251019

C21004

C1315821000036

1.12512368

1.12512368

1.12512368

1.12512368

 特此公告。

泰安银行股份有限公司

202510月20