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) |
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220722 |
1.05579605 |
1.05579605 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220715 |
1.05379998 |
1.05379998 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220708 |
1.05169434 |
1.05169434 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220701 |
1.05049699 |
1.05049699 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220624 |
1.04968226 |
1.04968226 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220617 |
1.04754032 |
1.04754032 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220610 |
1.04615130 |
1.04615130 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220603 |
1.04586257 |
1.04586257 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220527 |
1.04502225 |
1.04502225 |
|
PY2137 |
“金鹿理财-普惠颐养”21037号开放式净值型银行理财计划 |
20220520 |
1.04356889 |
1.04356889 |
|