产品代码 |
产品名称 |
净值日期 |
单位净值 |
累计单位净值 |
资产净值(元) |
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220415 |
1.04330215 |
1.04330215 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220408 |
1.04097456 |
1.04097456 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220401 |
1.03905210 |
1.03905210 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220325 |
1.03743697 |
1.03743697 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220318 |
1.03549788 |
1.03549788 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220311 |
1.03524719 |
1.03524719 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220304 |
1.03443336 |
1.03443336 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220225 |
1.03354115 |
1.03354115 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220218 |
1.032456 |
1.032456 |
|
PY2127 |
“金鹿理财-普惠颐养”21027号开放式净值型银行理财计划 |
20220211 |
1.03122807 |
1.03122807 |
|