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晋商银行净值型理财产品净值公告
尊敬的客户:
我行发行的净值型理财产品2022年01月05日产品净值情况如下:
产品名称  | 净值日期  | 单位净值  | 累计净值  | 资产净值  | 
丰盈多利184天固定周期型理财产品  | 2023-01-06  | 1.139990  | 1.139990  | 3,764,649,448.31  | 
丰盈多利275天固定周期型理财产品  | 2023-01-06  | 1.068567  | 1.068567  | 2,704,072,721.70  | 
丰盈多利季季开1号理财产品  | 2023-01-06  | 1.008066  | 1.008066  | 9,814,130.39  | 
丰盈多利季季开2号理财产品  | 2023-01-06  | 1.003019  | 1.003019  | 5,607,278.01  | 
丰盈多利两年定开1号理财产品  | 2023-01-06  | 0.997812  | 1.091440  | 122,512,864.01  | 
丰盈多利双周定开1号理财产品  | 2023-01-06  | 1.105169  | 1.105169  | 748,013,185.52  | 
丰盈多利一年定开10号理财产品  | 2023-01-06  | 1.022368  | 1.068035  | 352,643,775.67  | 
丰盈多利一年定开11号理财产品  | 2023-01-06  | 1.014478  | 1.058930  | 386,910,422.54  | 
丰盈多利一年定开12号理财产品  | 2023-01-06  | 1.010890  | 1.061721  | 348,182,976.94  | 
丰盈多利一年定开1号理财产品  | 2023-01-06  | 1.001548  | 1.094592  | 311,912,495.07  | 
丰盈多利一年定开2号理财产品  | 2023-01-06  | 0.997788  | 1.094490  | 169,058,590.39  | 
丰盈多利一年定开3号理财产品  | 2023-01-06  | 0.999484  | 1.094771  | 104,495,165.86  | 
丰盈多利一年定开4号理财产品  | 2023-01-06  | 0.990128  | 1.081766  | 192,716,214.33  | 
丰盈多利一年定开5号理财产品  | 2023-01-06  | 0.995596  | 1.086073  | 99,683,904.07  | 
丰盈多利一年定开6号理财产品  | 2023-01-06  | 0.986158  | 1.072597  | 135,918,162.02  | 
丰盈多利一年定开7号理财产品  | 2023-01-06  | 1.034865  | 1.079164  | 152,970,929.63  | 
丰盈多利一年定开8号理财产品  | 2023-01-06  | 1.025931  | 1.074099  | 317,539,580.05  | 
丰盈多利一年定开9号理财产品  | 2023-01-06  | 1.046344  | 1.098386  | 324,663,179.22  | 
丰盈多利周周开理财产品  | 2023-01-06  | 1.053998  | 1.053998  | 2,527,505,350.50  | 
丰盈封闭式理财产品21063期(稳利型)  | 2023-01-06  | 1.064400  | 1.064400  | 34,723,004.56  | 
丰盈封闭式理财产品21065期(稳利型)  | 2023-01-06  | 1.041900  | 1.041900  | 44,089,885.66  | 
丰盈封闭式理财产品21069期(稳利型)  | 2023-01-06  | 1.041500  | 1.041500  | 98,487,246.74  | 
丰盈封闭式理财产品21073期(稳利型)  | 2023-01-06  | 1.050500  | 1.050500  | 82,933,556.36  | 
丰盈封闭式理财产品21076期(稳利型)  | 2023-01-06  | 1.050000  | 1.050000  | 71,179,644.14  | 
丰盈封闭式理财产品21079期(稳利型)  | 2023-01-06  | 1.038300  | 1.038300  | 106,150,263.32  | 
丰盈封闭式理财产品21082期(稳利型)  | 2023-01-06  | 1.026500  | 1.026500  | 93,281,649.36  | 
丰盈封闭式理财产品21085期(稳利型)  | 2023-01-06  | 0.992700  | 0.992700  | 69,652,108.93  | 
丰盈封闭式理财产品21088期(稳利型)  | 2023-01-06  | 1.008900  | 1.008900  | 80,741,055.79  | 
丰盈封闭式理财产品21092期(富利型)  | 2023-01-06  | 1.065900  | 1.065900  | 213,186,451.37  | 
丰盈封闭式理财产品21096期(稳利型)  | 2023-01-06  | 1.019700  | 1.019700  | 203,912,780.15  | 
丰盈封闭式理财产品21100期(稳利型)  | 2023-01-06  | 1.017800  | 1.017800  | 130,372,213.88  | 
丰盈封闭式理财产品21104期(稳利型)  | 2023-01-06  | 1.025300  | 1.025300  | 144,163,290.70  | 
丰盈封闭式理财产品21107期(稳利型)  | 2023-01-06  | 1.030400  | 1.030400  | 144,384,771.06  | 
丰盈封闭式理财产品21111期(富利型)  | 2023-01-06  | 1.025300  | 1.025300  | 205,032,756.34  | 
丰盈封闭式理财产品21115期(富利型)  | 2023-01-06  | 1.036400  | 1.036400  | 118,344,899.94  | 
丰盈封闭式理财产品21126期(富利型)  | 2023-01-06  | 1.044200  | 1.044200  | 99,564,821.93  | 
丰盈封闭式理财产品21134期(富利型)  | 2023-01-06  | 1.016100  | 1.016100  | 46,419,577.46  | 
丰盈封闭式理财产品21136期(富利型)  | 2023-01-06  | 1.048500  | 1.048500  | 115,128,625.39  | 
丰盈封闭式理财产品21138期(富利型)  | 2023-01-06  | 1.048300  | 1.048300  | 209,661,054.79  | 
丰盈封闭式理财产品21140期(富利型)  | 2023-01-06  | 1.046600  | 1.046600  | 209,113,196.26  | 
丰盈封闭式理财产品21142期(富利型)  | 2023-01-06  | 1.054700  | 1.054700  | 138,172,871.41  | 
丰盈封闭式理财产品21144期(富利型)  | 2023-01-06  | 1.050900  | 1.050900  | 210,195,838.23  | 
丰盈封闭式理财产品21146期(富利型)  | 2023-01-06  | 1.047400  | 1.047400  | 187,577,764.82  | 
丰盈封闭式理财产品21148期(富利型)  | 2023-01-06  | 1.060200  | 1.060200  | 49,396,874.66  | 
丰盈封闭式理财产品21152期(富利型)  | 2023-01-06  | 1.057000  | 1.057000  | 79,231,603.58  | 
丰盈封闭式理财产品21154期(富利型)  | 2023-01-06  | 1.047500  | 1.047500  | 353,210,225.70  | 
丰盈封闭式理财产品22002期(稳利型)  | 2023-01-06  | 1.007100  | 1.007100  | 37,135,566.81  | 
丰盈封闭式理财产品22003期(稳利型)  | 2023-01-06  | 1.034000  | 1.034000  | 137,620,098.35  | 
丰盈封闭式理财产品22004期(稳利型)  | 2023-01-06  | 1.036200  | 1.036200  | 114,606,493.20  | 
丰盈封闭式理财产品22006期(稳利型)  | 2023-01-06  | 1.004900  | 1.004900  | 133,921,191.39  | 
丰盈封闭式理财产品22007期(稳利型)  | 2023-01-06  | 1.006500  | 1.006500  | 117,889,636.73  | 
丰盈封闭式理财产品22012期(稳利型)  | 2023-01-06  | 1.018200  | 1.018200  | 203,658,409.52  | 
丰盈封闭式理财产品22014期(稳利型)  | 2023-01-06  | 1.013200  | 1.013200  | 202,605,317.18  | 
丰盈封闭式理财产品22016期(稳利型)  | 2023-01-06  | 1.024600  | 1.024600  | 78,833,396.51  | 
丰盈封闭式理财产品22017期  | 2023-01-06  | 1.004588  | 1.004588  | 198,906,995.47  | 
丰盈封闭式理财产品22018期  | 2023-01-06  | 0.988382  | 0.988382  | 168,154,626.22  | 
丰盈封闭式理财产品22019期  | 2023-01-06  | 0.997400  | 0.997400  | 18,445,022.93  | 
丰盈封闭式理财产品22020期(国庆专享)  | 2023-01-06  | 0.987138  | 0.987138  | 197,427,637.58  | 
丰盈封闭式理财产品22024期(春节专享稳利型)  | 2023-01-06  | 1.007600  | 1.007600  | 302,271,745.16  | 
丰盈封闭式理财产品22025期(春节专享稳利型)  | 2023-01-06  | 1.010800  | 1.010800  | 303,269,108.13  | 
丰盈封闭式理财产品22028期(稳利型)  | 2023-01-06  | 1.013700  | 1.013700  | 202,236,540.22  | 
丰盈封闭式理财产品22032期(稳利型)  | 2023-01-06  | 1.015300  | 1.015300  | 203,025,687.98  | 
丰盈封闭式理财产品22033期(稳利型)  | 2023-01-06  | 1.018600  | 1.018600  | 203,728,223.46  | 
丰盈封闭式理财产品22036期(稳利型)  | 2023-01-06  | 1.022200  | 1.022200  | 88,923,234.56  | 
丰盈封闭式理财产品22037期(稳利型)  | 2023-01-06  | 1.016100  | 1.016100  | 203,118,488.72  | 
丰盈封闭式理财产品22038期(稳利型)  | 2023-01-06  | 1.014400  | 1.014400  | 202,470,797.31  | 
丰盈封闭式理财产品22039期(稳利型)  | 2023-01-06  | 1.014700  | 1.014700  | 87,783,411.24  | 
丰盈封闭式理财产品22040期(稳利型)  | 2023-01-06  | 1.021000  | 1.021000  | 99,684,087.64  | 
丰盈封闭式理财产品22041期(稳利型)  | 2023-01-06  | 1.016900  | 1.016900  | 203,383,776.39  | 
丰盈封闭式理财产品22042期(稳利型)  | 2023-01-06  | 1.019900  | 1.019900  | 198,577,181.74  | 
丰盈封闭式理财产品22044期(稳利型)  | 2023-01-06  | 1.021800  | 1.021800  | 50,277,400.08  | 
丰盈封闭式理财产品22046期  | 2023-01-06  | 0.996642  | 0.996642  | 124,649,719.68  | 
丰盈封闭式理财产品22047期  | 2023-01-06  | 0.998293  | 0.998293  | 102,886,211.23  | 
丰盈封闭式理财产品22050期(代发客户专享)  | 2023-01-06  | 0.997480  | 0.997480  | 13,156,272.71  | 
丰盈封闭式理财产品22056期(稳利型)  | 2023-01-06  | 1.020200  | 1.020200  | 31,860,213.94  | 
丰盈封闭式理财产品22057期(稳利型)  | 2023-01-06  | 1.020300  | 1.020300  | 102,664,981.46  | 
丰盈封闭式理财产品22060期(稳利型)  | 2023-01-06  | 1.001500  | 1.001500  | 100,152,692.59  | 
丰盈封闭式理财产品22061期(富利型)  | 2023-01-06  | 1.023200  | 1.023200  | 204,609,616.19  | 
丰盈封闭式理财产品22062期(稳利型)  | 2023-01-06  | 1.010600  | 1.010600  | 50,531,288.60  | 
丰盈封闭式理财产品22064期(富利型)  | 2023-01-06  | 1.027100  | 1.027100  | 123,967,332.81  | 
丰盈封闭式理财产品22065期  | 2023-01-06  | 0.986428  | 0.986428  | 197,048,008.33  | 
丰盈封闭式理财产品22068期  | 2023-01-06  | 1.007179  | 1.007179  | 167,645,150.90  | 
丰盈封闭式理财产品22073期(富利型)  | 2023-01-06  | 1.017500  | 1.017500  | 130,116,865.72  | 
丰盈封闭式理财产品22074期(富利型)  | 2023-01-06  | 1.021100  | 1.021100  | 126,381,019.53  | 
丰盈封闭式理财产品22075期  | 2023-01-06  | 0.985781  | 0.985781  | 166,668,192.36  | 
丰盈封闭式理财产品22076期  | 2023-01-06  | 0.985006  | 0.985006  | 197,000,568.05  | 
丰盈封闭式理财产品22077期  | 2023-01-06  | 0.981454  | 0.981454  | 195,701,968.79  | 
丰盈封闭式理财产品22078期  | 2023-01-06  | 1.013304  | 1.013304  | 92,739,668.53  | 
丰盈封闭式理财产品22080期  | 2023-01-06  | 1.012885  | 1.012885  | 83,897,729.25  | 
丰盈封闭式理财产品22081期(代发客户专享)  | 2023-01-06  | 1.019314  | 1.019314  | 50,762,794.20  | 
丰盈封闭式理财产品22082期(代发客户专享)  | 2023-01-06  | 0.977734  | 0.977734  | 51,032,163.36  | 
丰盈封闭式理财产品22083期  | 2023-01-06  | 0.984788  | 0.984788  | 147,217,006.40  | 
丰盈封闭式理财产品22084期  | 2023-01-06  | 0.983011  | 0.983011  | 154,806,867.10  | 
丰盈封闭式理财产品22085期  | 2023-01-06  | 1.017095  | 1.017095  | 181,845,549.88  | 
丰盈封闭式理财产品22087期  | 2023-01-06  | 1.010902  | 1.010902  | 108,451,831.53  | 
丰盈封闭式理财产品22088期  | 2023-01-06  | 1.010535  | 1.010535  | 180,371,753.80  | 
丰盈封闭式理财产品22089期  | 2023-01-06  | 0.957394  | 0.957394  | 15,485,093.28  | 
丰盈封闭式理财产品22090期(大同专享)  | 2023-01-06  | 0.996069  | 0.996069  | 123,210,647.49  | 
丰盈封闭式理财产品22091期  | 2023-01-06  | 0.997929  | 0.997929  | 190,977,864.03  | 
丰盈封闭式理财产品22093期  | 2023-01-06  | 0.994495  | 0.994495  | 50,164,331.97  | 
丰盈封闭式理财产品22094期  | 2023-01-06  | 0.979344  | 0.979344  | 195,868,899.70  | 
丰盈封闭式理财产品22095期  | 2023-01-06  | 1.011945  | 1.011945  | 164,175,660.52  | 
丰盈封闭式理财产品22096期  | 2023-01-06  | 1.015487  | 1.015487  | 182,202,685.99  | 
丰盈封闭式理财产品22098期  | 2023-01-06  | 1.017851  | 1.017851  | 198,390,414.89  | 
丰盈封闭式理财产品22099期(代发客户专享)  | 2023-01-06  | 1.019397  | 1.019397  | 33,614,314.23  | 
丰盈封闭式理财产品22100期  | 2023-01-06  | 1.006425  | 1.006425  | 102,635,572.09  | 
丰盈封闭式理财产品22101期  | 2023-01-06  | 1.003779  | 1.003779  | 131,049,195.52  | 
丰盈封闭式理财产品22102期  | 2023-01-06  | 0.997929  | 0.997929  | 132,862,088.77  | 
丰盈封闭式理财产品22103期  | 2023-01-06  | 0.992923  | 0.992923  | 182,944,107.00  | 
丰盈封闭式理财产品22104期  | 2023-01-06  | 0.981675  | 0.981675  | 105,938,645.58  | 
丰盈封闭式理财产品22105期(代发客户专享)  | 2023-01-06  | 0.981540  | 0.981540  | 55,034,856.53  | 
丰盈封闭式理财产品22106期(晋中专享)  | 2023-01-06  | 0.978449  | 0.978449  | 33,523,150.46  | 
丰盈封闭式理财产品22107期  | 2023-01-06  | 0.988027  | 0.988027  | 197,506,202.53  | 
丰盈封闭式理财产品22109期(代发客户专享)  | 2023-01-06  | 0.990317  | 0.990317  | 33,000,630.49  | 
丰盈封闭式理财产品22110期  | 2023-01-06  | 0.995047  | 0.995047  | 150,572,844.57  | 
丰盈封闭式理财产品22111期  | 2023-01-06  | 0.990437  | 0.990437  | 80,733,887.36  | 
丰盈封闭式理财产品22112期  | 2023-01-06  | 0.992169  | 0.992169  | 198,433,800.00  | 
丰盈封闭式理财产品22113期  | 2023-01-06  | 0.992464  | 0.992464  | 191,825,823.83  | 
丰盈封闭式理财产品22114期(长治专享)  | 2023-01-06  | 0.996075  | 0.996075  | 42,872,972.17  | 
丰盈封闭式理财产品22123期  | 2023-01-06  | 1.003817  | 1.003817  | 199,146,936.82  | 
丰盈封闭式理财产品22124期(718专享)  | 2023-01-06  | 1.018151  | 1.018151  | 305,444,852.50  | 
丰盈封闭式理财产品22125期  | 2023-01-06  | 1.000172  | 1.000172  | 148,044,187.40  | 
丰盈封闭式理财产品22126期  | 2023-01-06  | 1.000457  | 1.000457  | 99,202,052.36  | 
丰盈封闭式理财产品22127期  | 2023-01-06  | 1.002321  | 1.002321  | 150,061,179.74  | 
丰盈封闭式理财产品22128期  | 2023-01-06  | 0.990718  | 0.990718  | 105,681,426.84  | 
丰盈封闭式理财产品22129期  | 2023-01-06  | 0.998325  | 0.998325  | 105,555,746.76  | 
丰盈封闭式理财产品22130期  | 2023-01-06  | 0.996878  | 0.996878  | 115,575,058.30  | 
丰盈封闭式理财产品22131期  | 2023-01-06  | 0.994334  | 0.994334  | 125,033,240.51  | 
丰盈封闭式理财产品22132期  | 2023-01-06  | 0.998602  | 0.998602  | 130,816,383.26  | 
丰盈封闭式理财产品22133期  | 2023-01-06  | 0.997194  | 0.997194  | 145,093,776.69  | 
丰盈封闭式理财产品22134期  | 2023-01-06  | 0.999509  | 0.999509  | 131,575,583.39  | 
丰盈封闭式理财产品22135期  | 2023-01-06  | 0.999008  | 0.999008  | 141,528,543.81  | 
丰盈封闭式理财产品22136期  | 2023-01-06  | 0.999209  | 0.999209  | 199,739,146.33  | 
丰盈封闭式理财产品22137期  | 2023-01-06  | 1.002105  | 1.002105  | 97,603,076.77  | 
丰盈封闭式理财产品22138期  | 2023-01-06  | 1.005597  | 1.005597  | 83,662,150.81  | 
丰盈封闭式理财产品22145期  | 2023-01-06  | 0.997267  | 0.997267  | 96,422,308.54  | 
丰盈封闭式理财产品22146期  | 2023-01-06  | 1.002828  | 1.002828  | 18,822,683.30  | 
丰盈封闭式理财产品22147期  | 2023-01-06  | 1.003073  | 1.003073  | 76,960,795.62  | 
丰盈封闭式理财产品22155期  | 2023-01-06  | 0.998135  | 0.998135  | 90,509,647.88  | 
丰盈封闭式理财产品22156期  | 2023-01-06  | 1.000731  | 1.000731  | 175,006,077.90  | 
丰盈封闭式理财产品22157期  | 2023-01-06  | 0.997703  | 0.997703  | 69,505,530.99  | 
丰盈封闭式理财产品22158期  | 2023-01-06  | 1.001525  | 1.001525  | 250,381,264.02  | 
丰盈封闭式理财产品22159期  | 2023-01-06  | 1.005297  | 1.005297  | 55,769,057.25  | 
丰盈封闭式理财产品22160期  | 2023-01-06  | 1.004646  | 1.004646  | 60,129,001.63  | 
丰盈封闭式理财产品22161期  | 2023-01-06  | 0.997793  | 0.997793  | 194,974,301.27  | 
丰盈封闭式理财产品22162期  | 2023-01-06  | 0.999428  | 0.999428  | 181,384,974.25  | 
丰盈封闭式理财产品22163期  | 2023-01-06  | 0.998886  | 0.998886  | 125,348,319.28  | 
丰盈封闭式理财产品22164期  | 2023-01-06  | 1.001256  | 1.001256  | 96,049,690.35  | 
丰盈封闭式理财产品22165期  | 2023-01-06  | 1.004323  | 1.004323  | 75,539,925.13  | 
丰盈封闭式理财产品22166期  | 2023-01-06  | 0.994107  | 0.994107  | 46,790,063.40  | 
丰盈封闭式理财产品22172期  | 2023-01-06  | 0.999671  | 0.999671  | 78,877,168.70  | 
丰盈封闭式理财产品22173期  | 2023-01-06  | 1.000113  | 1.000113  | 88,804,808.07  | 
丰盈封闭式理财产品22174期  | 2023-01-06  | 1.001272  | 1.001272  | 53,589,097.70  | 
丰盈封闭式理财产品22175期  | 2023-01-06  | 1.001598  | 1.001598  | 50,048,680.73  | 
丰盈封闭式理财产品22176期  | 2023-01-06  | 1.002335  | 1.002335  | 79,034,334.31  | 
丰盈封闭式理财产品22177期  | 2023-01-06  | 1.002493  | 1.002493  | 62,482,730.44  | 
丰盈封闭式理财产品22178期  | 2023-01-06  | 1.002318  | 1.002318  | 114,656,806.05  | 
丰盈封闭式理财产品22179期  | 2023-01-06  | 1.003019  | 1.003019  | 219,128,186.74  | 
丰盈封闭式理财产品22180期  | 2023-01-06  | 1.002994  | 1.002994  | 70,569,218.34  | 
丰盈封闭式理财产品22181期  | 2023-01-06  | 1.001860  | 1.001860  | 85,115,140.11  | 
丰盈封闭式理财产品22187期  | 2023-01-06  | 1.005686  | 1.005686  | 57,089,598.23  | 
丰盈封闭式理财产品22188期  | 2023-01-06  | 1.005733  | 1.005733  | 122,639,200.11  | 
丰盈封闭式理财产品22189期  | 2023-01-06  | 1.007119  | 1.007119  | 18,695,554.21  | 
丰盈封闭式理财产品22190期  | 2023-01-06  | 1.005142  | 1.005142  | 82,076,189.42  | 
丰盈封闭式理财产品22193期  | 2023-01-06  | 1.001662  | 1.001662  | 42,227,582.81  | 
丰盈封闭式理财产品22194期(稳利低波型)  | 2023-01-06  | 0.998246  | 0.998246  | 29,814,313.81  | 
丰盈封闭式理财产品22195期  | 2023-01-06  | 1.001983  | 1.001983  | 130,982,453.09  | 
丰盈封闭式理财产品23001期(代发客户专享)  | 2023-01-06  | 0.999991  | 0.999991  | 20,393,529.02  | 
丰盈封闭式理财产品23005期  | 2023-01-06  | 1.000018  | 1.000018  | 130,146,480.85  | 
丰盈封闭式理财产品23006期  | 2023-01-06  | 1.000016  | 1.000016  | 85,133,764.98  | 
丰盈弘利季季红1号理财产品(三年期)  | 2023-01-06  | 1.095100  | 1.165100  | 151,033,394.36  | 
丰盈弘利季季红2号理财产品(三年期)  | 2023-01-06  | 0.991300  | 1.023500  | 27,157,261.78  | 
丰盈弘利季季红3号理财产品(三年期)  | 2023-01-06  | 1.002400  | 1.041100  | 14,639,431.12  | 
丰盈增利FOF18个月最短持有期理财产品  | 2023-01-06  | 0.986638  | 0.986638  | 964,684,968.04  | 
丰盈增利FOF36个月最短持有期理财产品(混合类)  | 2023-01-06  | 0.972777  | 0.972777  | 107,141,737.55  | 
丰盈长寿封闭式理财产品(精选2号)  | 2023-01-06  | 1.046600  | 1.046600  | 523,282,452.43  | 
丰盈长寿封闭式理财产品(精选3号)  | 2023-01-06  | 1.064700  | 1.064700  | 471,258,431.02  | 
丰盈长寿封闭式理财产品(精选4号)  | 2023-01-06  | 1.011000  | 1.011000  | 107,387,409.00  | 
丰盈长寿封闭式理财产品(精选5号)  | 2023-01-06  | 1.012600  | 1.012600  | 298,776,937.77  | 
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注:1、理财产品过往业绩不代表其未来表现,不等于理财产品实际收益。
2、单位净值和累计净值不一致的是由于产品期间分红所致。
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晋商银行股份有限公司
2022年01月06日

