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) |
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20230113 |
1.04292969 |
1.04292969 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20230106 |
1.04234706 |
1.04234706 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221230 |
1.03871368 |
1.03871368 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221223 |
1.03675602 |
1.03675602 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221216 |
1.03696989 |
1.03696989 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221209 |
1.04043067 |
1.04043067 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221202 |
1.04239355 |
1.04239355 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221125 |
1.04167168 |
1.04167168 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221118 |
1.04108697 |
1.04108697 |
|
Z21003 |
“金鹿理财-臻享”21003号封闭式净值型银行理财计划 |
20221111 |
1.04106900 |
1.04106900 |
|