尊敬的投资者:
截止2020年6月5日,长安银行封闭式净值型理财产品净值公布如下:
产品名称 |
产品代码 |
资产净值 |
单位净值 |
“长盈聚金”白金专属封闭式净值型理财计划(2018020期) |
CYBF18020 |
159,290,477.49 |
1.0855 |
“长盈聚金”白金专属封闭式净值型理财计划(2018023期) |
CYBF18023 |
62,961,651.88 |
1.0863 |
“长盈聚金”白金专属封闭式净值型理财计划(2018026期) |
CYBF18026 |
107,581,062.23 |
1.0789 |
“长盈聚金”白金专属封闭式净值型理财计划(2018029期) |
CYBF18029 |
82,833,137.47 |
1.0766 |
“长盈聚金”白金专属封闭式净值型理财计划(2019002期) |
CYBF19002 |
124,697,936.36 |
1.0727 |
“长盈聚金”白金专属封闭式净值型理财计划(2019005期) |
CYBF19005 |
157,895,346.75 |
1.0714 |
“长盈聚金”白金专属封闭式净值型理财计划(2019008期) |
CYBF19008 |
194,478,909.95 |
1.073 |
“长盈聚金”白金专属封闭式净值型理财计划(2019011期) |
CYBF19011 |
160,491,107.51 |
1.07 |
“长盈聚金”白金专属封闭式净值型理财计划(2019014期) |
CYBF19014 |
156,376,802.86 |
1.064 |
“长盈聚金”白金专属封闭式净值型理财计划(2019017期) |
CYBF19017 |
170,477,936.07 |
1.0695 |
“长盈聚金”白金专属封闭式净值型理财计划(2019020期) |
CYBF19020 |
68,461,339.66 |
1.079 |
“长盈聚金”白金专属封闭式净值型理财计划(2019023期) |
CYBF19023 |
99,221,648.98 |
1.0786 |
“长盈聚金”白金专属封闭式净值型理财计划(2019027期) |
CYBF19027 |
209,137,813.82 |
1.056 |
“长盈聚金”白金专属封闭式净值型理财计划(2019028期) |
CYBF19028 |
133,713,546.94 |
1.0631 |
“长盈聚金”白金专属封闭式净值型理财计划(2019029期) |
CYBF19029 |
78,414,422.22 |
1.0655 |
“长盈聚金”白金专属封闭式净值型理财计划(2019030期) |
CYBF19030 |
221,201,619.87 |
1.0593 |
“长盈聚金”白金专属封闭式净值型理财计划(2019031期) |
CYBF19031 |
181,181,698.89 |
1.058 |
“长盈聚金”白金专属封闭式净值型理财计划(2019032期) |
CYBF19032 |
46,097,629.80 |
1.0633 |
“长盈聚金”白金专属封闭式净值型理财计划(2019033期) |
CYBF19033 |
219,631,013.80 |
1.0546 |
“长盈聚金”白金专属封闭式净值型理财计划(2019034期) |
CYBF19034 |
252,529,727.49 |
1.0492 |
“长盈聚金”白金专属封闭式净值型理财计划(2019036期) |
CYBF19036 |
135,724,630.03 |
1.0521 |
“长盈聚金”白金专属封闭式净值型理财计划(2019037期) |
CYBF19037 |
99,035,659.51 |
1.0549 |
“长盈聚金”白金专属封闭式净值型理财计划(2019039期) |
CYBF19039 |
94,142,318.33 |
1.0487 |
“长盈聚金”白金专属封闭式净值型理财计划(2019040期) |
CYBF19040 |
98,763,044.87 |
1.045 |
“长盈聚金”白金专属封闭式净值型理财计划(2019041期) |
CYBF19041 |
62,658,800.10 |
1.0551 |
“长盈聚金”白金专属封闭式净值型理财计划(2019042期) |
CYBF19042 |
122,831,678.28 |
1.0456 |
“长盈聚金”白金专属封闭式净值型理财计划(2019043期) |
CYBF19043 |
93,153,923.97 |
1.0452 |
“长盈聚金”白金专属封闭式净值型理财计划(2019044期) |
CYBF19044 |
42,199,550.62 |
1.0485 |
“长盈聚金”白金专属封闭式净值型理财计划(2019045期) |
CYBF19045 |
96,753,692.81 |
1.045 |
“长盈聚金”白金专属封闭式净值型理财计划(2019046期) |
CYBF19046 |
91,819,665.03 |
1.0414 |
“长盈聚金”白金专属封闭式净值型理财计划(2019047期) |
CYBF19047 |
63,633,388.56 |
1.0522 |
“长盈聚金”白金专属封闭式净值型理财计划(2019048期) |
CYBF19048 |
128,621,057.17 |
1.0365 |
“长盈聚金”白金专属封闭式净值型理财计划(2019049期) |
CYBF19049 |
74,685,090.16 |
1.0356 |
“长盈聚金”白金专属封闭式净值型理财计划(2019050期) |
CYBF19050 |
61,758,901.61 |
1.0475 |
“长盈聚金”白金专属封闭式净值型理财计划(2019051期) |
CYBF19051 |
114,630,131.35 |
1.037 |
“长盈聚金”白金专属封闭式净值型理财计划(2019052期) |
CYBF19052 |
61,715,661.84 |
1.0451 |
“长盈聚金”白金专属封闭式净值型理财计划(2019053期) |
CYBF19053 |
85,687,459.88 |
1.0338 |
“长盈聚金”白金专属封闭式净值型理财计划(2019054期) |
CYBF19054 |
105,186,733.66 |
1.0472 |
“长盈聚金”白金专属封闭式净值型理财计划(2019055期) |
CYBF19055 |
304,297,019.96 |
1.0339 |
“长盈聚金”白金专属封闭式净值型理财计划(2019056期) |
CYBF19056 |
419,722,285.95 |
1.0357 |
“长盈聚金”白金专属封闭式净值型理财计划(2019057期) |
CYBF19057 |
439,033,184.31 |
1.0354 |
“长盈聚金”白金专属封闭式净值型理财计划(2019058期) |
CYBF19058 |
156,039,147.22 |
1.0403 |
“长盈聚金”白金专属封闭式净值型理财计划(2020001期) |
CYBF20001 |
654,541,737.87 |
1.007 |
“长盈聚金”添利系列封闭式净值型理财计划(2019001期行庆专属) |
CYTL19001 |
528,784,tHB123456*491.92 |
1.0578 |
“长盈聚金”添利系列封闭式净值型理财计划(2019002期行庆专属) |
CYTL19002 |
527,905,772.94 |
1.0559 |