1. 葫蘆島銀行“金葫蘆”恒信系列理財(cái)產(chǎn)品凈值公告20241129

          產(chǎn)品名稱

          凈值日期

          單位凈值

          資產(chǎn)凈值(元)

          “金葫蘆”恒信472

          2024-11-28

          1.011203

          30,332,045.19

          “金葫蘆”恒信474

          2024-11-28

          1.010279

          30,308,370.00

          “金葫蘆”恒信482

          2024-11-28

          1.006553

          20,123,007.58

          “金葫蘆”恒信483

          2024-11-28

          1.006055

          23,139,265.00

          “金葫蘆”恒信484

          2024-11-28

          1.006288

          20,125,760.00

          “金葫蘆”恒信485

          2024-11-28

          1.005556

          30,161,652.22

          “金葫蘆”恒信486

          2024-11-28

          1.005770

          30,151,978.83

          “金葫蘆”恒信487

          2024-11-28

          1.004384

          30,128,506.85

          “金葫蘆”恒信488

          2024-11-28

          1.004559

          60,271,530.88

          “金葫蘆”恒信489

          2024-11-28

          1.004559

          30,132,751.76

          “金葫蘆”恒信490

          2024-11-28

          1.003425

          40,137,000.00

          “金葫蘆”恒信491

          2024-11-28

          1.003562

          20,071,240.00

          “金葫蘆”恒信492

          2024-11-28

          1.002945

          40,117,800.00

          “金葫蘆”恒信493

          2024-11-28

          1.003063

          30,068,819.55

          “金葫蘆”恒信494

          2024-11-28

          1.002564

          30,040,827.70

          “金葫蘆”恒信495

          2024-11-28

          1.002564

          30,073,912.31

          “金葫蘆”恒信498

          2024-11-28

          1.001447

          30,038,402.76

          “金葫蘆”恒信499

          2024-11-28

          1.001507

          30,045,210.00

          “金葫蘆”恒信501

          2024-11-28

          1.000526

          12,006,312.00

          “金葫蘆”恒信503

          2024-11-28

          1.000062

          50,001,099.88


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