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晋商银行净值型理财产品净值公告
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我行发行的净值型理财产品2023年01月19日产品净值情况如下:
产品名称 | 公布净值日期 | 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 | 2023/01/20 | 1.140286 | 1.140286 | 3,466,557,474.25 |
丰盈多利275天固定周期型理财产品 | 2023/01/20 | 1.072372 | 1.072372 | 2,600,416,301.66 |
丰盈多利季季开1号理财产品 | 2023/01/20 | 1.008110 | 1.008110 | 9,096,714.67 |
丰盈多利季季开2号理财产品 | 2023/01/20 | 1.007589 | 1.007589 | 9,128,864.97 |
丰盈多利两年定开1号理财产品 | 2023/01/20 | 0.992898 | 1.086526 | 121,909,515.67 |
丰盈多利双周定开1号理财产品 | 2023/01/20 | 1.105619 | 1.105619 | 693,120,610.00 |
丰盈多利一年定开10号理财产品 | 2023/01/20 | 1.021533 | 1.067200 | 352,355,766.28 |
丰盈多利一年定开11号理财产品 | 2023/01/20 | 1.015604 | 1.060056 | 387,339,830.10 |
丰盈多利一年定开12号理财产品 | 2023/01/20 | 1.007235 | 1.058066 | 346,923,825.24 |
丰盈多利一年定开1号理财产品 | 2023/01/20 | 1.002604 | 1.095648 | 312,241,111.14 |
丰盈多利一年定开2号理财产品 | 2023/01/20 | 0.998920 | 1.095622 | 169,250,388.97 |
丰盈多利一年定开3号理财产品 | 2023/01/20 | 1.000365 | 1.095652 | 104,587,273.63 |
丰盈多利一年定开4号理财产品 | 2023/01/20 | 0.989207 | 1.080845 | 192,536,953.03 |
丰盈多利一年定开5号理财产品 | 2023/01/20 | 0.990730 | 1.081207 | 99,196,672.30 |
丰盈多利一年定开6号理财产品 | 2023/01/20 | 0.985123 | 1.071562 | 135,775,592.80 |
丰盈多利一年定开7号理财产品 | 2023/01/20 | 1.000000 | 1.086039 | 147,817,199.43 |
丰盈多利一年定开8号理财产品 | 2023/01/20 | 1.024325 | 1.072493 | 317,042,501.23 |
丰盈多利一年定开9号理财产品 | 2023/01/20 | 1.043322 | 1.095364 | 323,725,645.67 |
丰盈多利周周开理财产品 | 2023/01/20 | 1.054441 | 1.054441 | 2,107,929,762.11 |
丰盈封闭式理财产品21069期(稳利型) | 2023/01/20 | 1.046800 | 1.046800 | 98,993,683.36 |
丰盈封闭式理财产品21073期(稳利型) | 2023/01/20 | 1.053000 | 1.053000 | 83,126,304.31 |
丰盈封闭式理财产品21076期(稳利型) | 2023/01/20 | 1.052000 | 1.052000 | 71,311,385.69 |
丰盈封闭式理财产品21079期(稳利型) | 2023/01/20 | 1.041000 | 1.041000 | 106,425,753.96 |
丰盈封闭式理财产品21082期(稳利型) | 2023/01/20 | 1.033200 | 1.033200 | 93,888,213.35 |
丰盈封闭式理财产品21085期(稳利型) | 2023/01/20 | 1.000100 | 1.000100 | 70,172,494.05 |
丰盈封闭式理财产品21088期(稳利型) | 2023/01/20 | 1.017800 | 1.017800 | 81,455,249.28 |
丰盈封闭式理财产品21092期(富利型) | 2023/01/20 | 1.067700 | 1.067700 | 213,547,824.07 |
丰盈封闭式理财产品21096期(稳利型) | 2023/01/20 | 1.027100 | 1.027100 | 205,405,178.18 |
丰盈封闭式理财产品21100期(稳利型) | 2023/01/20 | 1.025400 | 1.025400 | 131,354,743.61 |
丰盈封闭式理财产品21104期(稳利型) | 2023/01/20 | 1.031600 | 1.031600 | 145,051,557.42 |
丰盈封闭式理财产品21107期(稳利型) | 2023/01/20 | 1.033900 | 1.033900 | 144,874,174.50 |
丰盈封闭式理财产品21111期(富利型) | 2023/01/20 | 1.032300 | 1.032300 | 206,435,165.69 |
丰盈封闭式理财产品21115期(富利型) | 2023/01/20 | 1.040000 | 1.040000 | 118,754,041.90 |
丰盈封闭式理财产品21126期(富利型) | 2023/01/20 | 1.045700 | 1.045700 | 99,711,135.79 |
丰盈封闭式理财产品21134期(富利型) | 2023/01/20 | 1.021900 | 1.021900 | 46,687,488.50 |
丰盈封闭式理财产品21136期(富利型) | 2023/01/20 | 1.050500 | 1.050500 | 115,348,425.89 |
丰盈封闭式理财产品21138期(富利型) | 2023/01/20 | 1.050200 | 1.050200 | 210,052,019.39 |
丰盈封闭式理财产品21140期(富利型) | 2023/01/20 | 1.048600 | 1.048600 | 209,514,709.11 |
丰盈封闭式理财产品21142期(富利型) | 2023/01/20 | 1.057000 | 1.057000 | 138,471,684.64 |
丰盈封闭式理财产品21144期(富利型) | 2023/01/20 | 1.053200 | 1.053200 | 210,643,331.97 |
丰盈封闭式理财产品21146期(富利型) | 2023/01/20 | 1.049300 | 1.049300 | 187,911,987.55 |
丰盈封闭式理财产品21148期(富利型) | 2023/01/20 | 1.062600 | 1.062600 | 49,509,670.16 |
丰盈封闭式理财产品21152期(富利型) | 2023/01/20 | 1.059100 | 1.059100 | 79,383,692.58 |
丰盈封闭式理财产品21154期(富利型) | 2023/01/20 | 1.049900 | 1.049900 | 354,025,025.19 |
丰盈封闭式理财产品22002期(稳利型) | 2023/01/20 | 1.011000 | 1.011000 | 37,278,700.01 |
丰盈封闭式理财产品22004期(稳利型) | 2023/01/20 | 1.037500 | 1.037500 | 114,745,233.99 |
丰盈封闭式理财产品22006期(稳利型) | 2023/01/20 | 1.008500 | 1.008500 | 134,408,980.64 |
丰盈封闭式理财产品22012期(稳利型) | 2023/01/20 | 1.020700 | 1.020700 | 204,156,901.71 |
丰盈封闭式理财产品22014期(稳利型) | 2023/01/20 | 1.018500 | 1.018500 | 203,683,965.66 |
丰盈封闭式理财产品22016期(稳利型) | 2023/01/20 | 1.027000 | 1.027000 | 79,014,374.42 |
丰盈封闭式理财产品22017期 | 2023/01/20 | 1.005665 | 1.005665 | 199,120,355.09 |
丰盈封闭式理财产品22018期 | 2023/01/20 | 0.990074 | 0.990074 | 168,442,430.79 |
丰盈封闭式理财产品22019期 | 2023/01/20 | 0.999109 | 0.999109 | 18,476,625.08 |
丰盈封闭式理财产品22020期(国庆专享) | 2023/01/20 | 0.989284 | 0.989284 | 197,856,950.81 |
丰盈封闭式理财产品22024期(春节专享稳利型) | 2023/01/20 | 1.016400 | 1.016400 | 304,911,386.77 |
丰盈封闭式理财产品22025期(春节专享稳利型) | 2023/01/20 | 1.016100 | 1.016100 | 304,831,714.99 |
丰盈封闭式理财产品22028期(稳利型) | 2023/01/20 | 1.015600 | 1.015600 | 202,620,926.05 |
丰盈封闭式理财产品22032期(稳利型) | 2023/01/20 | 1.022200 | 1.022200 | 204,396,501.42 |
丰盈封闭式理财产品22033期(稳利型) | 2023/01/20 | 1.021700 | 1.021700 | 204,348,552.17 |
丰盈封闭式理财产品22036期(稳利型) | 2023/01/20 | 1.023300 | 1.023300 | 89,021,932.37 |
丰盈封闭式理财产品22037期(稳利型) | 2023/01/20 | 1.017800 | 1.017800 | 203,462,518.63 |
丰盈封闭式理财产品22038期(稳利型) | 2023/01/20 | 1.016100 | 1.016100 | 202,820,064.93 |
丰盈封闭式理财产品22039期(稳利型) | 2023/01/20 | 1.016400 | 1.016400 | 87,931,112.55 |
丰盈封闭式理财产品22040期(稳利型) | 2023/01/20 | 1.022800 | 1.022800 | 99,860,060.27 |
丰盈封闭式理财产品22041期(稳利型) | 2023/01/20 | 1.018900 | 1.018900 | 203,783,268.09 |
丰盈封闭式理财产品22042期(稳利型) | 2023/01/20 | 1.020200 | 1.020200 | 198,635,592.52 |
丰盈封闭式理财产品22044期(稳利型) | 2023/01/20 | 1.023900 | 1.023900 | 50,378,367.72 |
丰盈封闭式理财产品22046期 | 2023/01/20 | 0.997729 | 0.997729 | 124,785,635.91 |
丰盈封闭式理财产品22047期 | 2023/01/20 | 0.999942 | 0.999942 | 103,056,162.07 |
丰盈封闭式理财产品22050期(代发客户专享) | 2023/01/20 | 0.999227 | 0.999227 | 13,179,310.51 |
丰盈封闭式理财产品22056期(稳利型) | 2023/01/20 | 1.028700 | 1.028700 | 32,124,963.69 |
丰盈封闭式理财产品22057期(稳利型) | 2023/01/20 | 1.022400 | 1.022400 | 102,870,565.48 |
丰盈封闭式理财产品22060期(稳利型) | 2023/01/20 | 1.004300 | 1.004300 | 100,431,755.09 |
丰盈封闭式理财产品22061期(富利型) | 2023/01/20 | 1.025400 | 1.025400 | 205,038,994.19 |
丰盈封闭式理财产品22062期(稳利型) | 2023/01/20 | 1.012100 | 1.012100 | 50,606,033.35 |
丰盈封闭式理财产品22064期(富利型) | 2023/01/20 | 1.028900 | 1.028900 | 124,192,293.78 |
丰盈封闭式理财产品22065期 | 2023/01/20 | 0.988533 | 0.988533 | 197,468,446.41 |
丰盈封闭式理财产品22068期 | 2023/01/20 | 1.009008 | 1.009008 | 167,949,573.26 |
丰盈封闭式理财产品22073期(富利型) | 2023/01/20 | 1.020000 | 1.020000 | 130,439,554.89 |
丰盈封闭式理财产品22074期(富利型) | 2023/01/20 | 1.024000 | 1.024000 | 126,747,819.53 |
丰盈封闭式理财产品22075期 | 2023/01/20 | 0.987627 | 0.987627 | 166,980,431.37 |
丰盈封闭式理财产品22076期 | 2023/01/20 | 0.986861 | 0.986861 | 197,371,472.82 |
丰盈封闭式理财产品22077期 | 2023/01/20 | 0.983677 | 0.983677 | 196,145,218.07 |
丰盈封闭式理财产品22078期 | 2023/01/20 | 1.015435 | 1.015435 | 92,934,702.40 |
丰盈封闭式理财产品22080期 | 2023/01/20 | 1.015801 | 1.015801 | 84,139,222.82 |
丰盈封闭式理财产品22081期(代发客户专享) | 2023/01/20 | 1.020661 | 1.020661 | 50,829,854.36 |
丰盈封闭式理财产品22082期(代发客户专享) | 2023/01/20 | 0.979674 | 0.979674 | 51,133,406.43 |
丰盈封闭式理财产品22083期 | 2023/01/20 | 0.986583 | 0.986583 | 147,485,320.76 |
丰盈封闭式理财产品22084期 | 2023/01/20 | 0.985302 | 0.985302 | 155,167,535.39 |
丰盈封闭式理财产品22085期 | 2023/01/20 | 1.019106 | 1.019106 | 182,205,125.25 |
丰盈封闭式理财产品22087期 | 2023/01/20 | 1.013085 | 1.013085 | 108,686,080.70 |
丰盈封闭式理财产品22088期 | 2023/01/20 | 1.013440 | 1.013440 | 180,890,253.21 |
丰盈封闭式理财产品22089期 | 2023/01/20 | 1.012292 | 1.012292 | 16,373,013.50 |
丰盈封闭式理财产品22090期(大同专享) | 2023/01/20 | 0.996754 | 0.996754 | 123,295,379.86 |
丰盈封闭式理财产品22091期 | 2023/01/20 | 0.998678 | 0.998678 | 191,121,203.31 |
丰盈封闭式理财产品22093期 | 2023/01/20 | 0.995495 | 0.995495 | 50,214,799.08 |
丰盈封闭式理财产品22094期 | 2023/01/20 | 0.981814 | 0.981814 | 196,362,941.34 |
丰盈封闭式理财产品22095期 | 2023/01/20 | 1.014556 | 1.014556 | 164,599,389.47 |
丰盈封闭式理财产品22096期 | 2023/01/20 | 1.012975 | 1.012975 | 181,751,939.18 |
丰盈封闭式理财产品22098期 | 2023/01/20 | 1.019282 | 1.019282 | 198,669,221.82 |
丰盈封闭式理财产品22099期(代发客户专享) | 2023/01/20 | 1.021056 | 1.021056 | 33,669,037.18 |
丰盈封闭式理财产品22100期 | 2023/01/20 | 1.004408 | 1.004408 | 102,429,898.86 |
丰盈封闭式理财产品22101期 | 2023/01/20 | 1.005879 | 1.005879 | 131,323,449.50 |
丰盈封闭式理财产品22102期 | 2023/01/20 | 0.999964 | 0.999964 | 133,133,038.19 |
丰盈封闭式理财产品22103期 | 2023/01/20 | 0.995309 | 0.995309 | 183,383,820.28 |
丰盈封闭式理财产品22104期 | 2023/01/20 | 0.984057 | 0.984057 | 106,195,741.81 |
丰盈封闭式理财产品22105期(代发客户专享) | 2023/01/20 | 0.984057 | 0.984057 | 55,176,012.12 |
丰盈封闭式理财产品22106期(晋中专享) | 2023/01/20 | 0.981206 | 0.981206 | 33,617,607.84 |
丰盈封闭式理财产品22107期 | 2023/01/20 | 0.989748 | 0.989748 | 197,850,207.29 |
丰盈封闭式理财产品22109期(代发客户专享) | 2023/01/20 | 0.991958 | 0.991958 | 33,055,314.02 |
丰盈封闭式理财产品22110期 | 2023/01/20 | 0.995218 | 0.995218 | 150,598,698.86 |
丰盈封闭式理财产品22111期 | 2023/01/20 | 0.991735 | 0.991735 | 80,839,691.75 |
丰盈封闭式理财产品22112期 | 2023/01/20 | 0.992075 | 0.992075 | 198,415,000.00 |
丰盈封闭式理财产品22113期 | 2023/01/20 | 0.992523 | 0.992523 | 191,837,227.50 |
丰盈封闭式理财产品22114期(长治专享) | 2023/01/20 | 0.997818 | 0.997818 | 42,948,007.54 |
丰盈封闭式理财产品22123期 | 2023/01/20 | 1.004991 | 1.004991 | 199,379,861.29 |
丰盈封闭式理财产品22124期(718专享) | 2023/01/20 | 1.019629 | 1.019629 | 305,888,095.16 |
丰盈封闭式理财产品22125期 | 2023/01/20 | 0.996844 | 0.996844 | 147,551,536.60 |
丰盈封闭式理财产品22126期 | 2023/01/20 | 0.996838 | 0.996838 | 98,843,253.32 |
丰盈封闭式理财产品22127期 | 2023/01/20 | 1.000438 | 1.000438 | 149,779,251.23 |
丰盈封闭式理财产品22128期 | 2023/01/20 | 0.989925 | 0.989925 | 105,596,785.31 |
丰盈封闭式理财产品22129期 | 2023/01/20 | 0.998252 | 0.998252 | 105,548,074.23 |
丰盈封闭式理财产品22130期 | 2023/01/20 | 0.995992 | 0.995992 | 115,472,422.26 |
丰盈封闭式理财产品22131期 | 2023/01/20 | 0.994021 | 0.994021 | 124,993,871.88 |
丰盈封闭式理财产品22132期 | 2023/01/20 | 0.998616 | 0.998616 | 130,818,284.69 |
丰盈封闭式理财产品22133期 | 2023/01/20 | 0.995436 | 0.995436 | 144,838,008.83 |
丰盈封闭式理财产品22134期 | 2023/01/20 | 0.998072 | 0.998072 | 131,386,376.77 |
丰盈封闭式理财产品22135期 | 2023/01/20 | 1.000122 | 1.000122 | 141,686,365.58 |
丰盈封闭式理财产品22136期 | 2023/01/20 | 1.000298 | 1.000298 | 199,956,831.98 |
丰盈封闭式理财产品22137期 | 2023/01/20 | 1.002942 | 1.002942 | 97,684,558.84 |
丰盈封闭式理财产品22138期 | 2023/01/20 | 1.006257 | 1.006257 | 83,717,060.50 |
丰盈封闭式理财产品22145期 | 2023/01/20 | 0.997763 | 0.997763 | 96,470,266.29 |
丰盈封闭式理财产品22155期 | 2023/01/20 | 0.999252 | 0.999252 | 90,610,913.23 |
丰盈封闭式理财产品22156期 | 2023/01/20 | 1.001915 | 1.001915 | 175,213,167.93 |
丰盈封闭式理财产品22157期 | 2023/01/20 | 0.997704 | 0.997704 | 69,505,557.98 |
丰盈封闭式理财产品22158期 | 2023/01/20 | 1.002399 | 1.002399 | 250,599,796.63 |
丰盈封闭式理财产品22159期 | 2023/01/20 | 1.006598 | 1.006598 | 55,841,232.71 |
丰盈封闭式理财产品22160期 | 2023/01/20 | 1.005947 | 1.005947 | 60,206,870.09 |
丰盈封闭式理财产品22161期 | 2023/01/20 | 0.995657 | 0.995657 | 194,556,829.51 |
丰盈封闭式理财产品22162期 | 2023/01/20 | 0.998712 | 0.998712 | 181,255,071.77 |
丰盈封闭式理财产品22163期 | 2023/01/20 | 0.996532 | 0.996532 | 125,052,926.55 |
丰盈封闭式理财产品22164期 | 2023/01/20 | 0.999142 | 0.999142 | 95,846,934.96 |
丰盈封闭式理财产品22165期 | 2023/01/20 | 1.005032 | 1.005032 | 75,593,205.02 |
丰盈封闭式理财产品22166期 | 2023/01/20 | 0.994596 | 0.994596 | 46,813,084.85 |
丰盈封闭式理财产品22172期 | 2023/01/20 | 0.998306 | 0.998306 | 78,769,494.73 |
丰盈封闭式理财产品22173期 | 2023/01/20 | 0.999159 | 0.999159 | 88,720,097.28 |
丰盈封闭式理财产品22174期 | 2023/01/20 | 1.000536 | 1.000536 | 53,549,705.59 |
丰盈封闭式理财产品22175期 | 2023/01/20 | 1.001239 | 1.001239 | 50,030,755.18 |
丰盈封闭式理财产品22176期 | 2023/01/20 | 1.001701 | 1.001701 | 78,984,370.28 |
丰盈封闭式理财产品22177期 | 2023/01/20 | 1.001482 | 1.001482 | 62,419,726.69 |
丰盈封闭式理财产品22178期 | 2023/01/20 | 1.001767 | 1.001767 | 114,593,732.00 |
丰盈封闭式理财产品22179期 | 2023/01/20 | 1.002790 | 1.002790 | 219,078,166.88 |
丰盈封闭式理财产品22187期 | 2023/01/20 | 1.004761 | 1.004761 | 57,037,098.09 |
丰盈封闭式理财产品22188期 | 2023/01/20 | 1.005874 | 1.005874 | 122,656,286.73 |
丰盈封闭式理财产品22190期 | 2023/01/20 | 1.005171 | 1.005171 | 82,078,562.81 |
丰盈封闭式理财产品23001期(代发客户专享) | 2023/01/20 | 1.001215 | 1.001215 | 20,418,490.24 |
丰盈封闭式理财产品23002期 | 2023/01/20 | 1.000225 | 1.000225 | 78,614,986.02 |
丰盈封闭式理财产品23005期 | 2023/01/20 | 1.000576 | 1.000576 | 130,219,093.67 |
丰盈封闭式理财产品23008期(稳利低波型) | 2023/01/20 | 1.000771 | 1.000771 | 125,442,641.77 |
丰盈封闭式理财产品23009期 | 2023/01/20 | 1.000197 | 1.000197 | 59,637,046.18 |
丰盈封闭式理财产品23030期 | 2023/01/20 | 1.000211 | 1.000211 | 114,741,899.18 |
丰盈弘利季季红1号理财产品(三年期) | 2023/01/20 | 1.095100 | 1.165100 | 151,032,165.15 |
丰盈弘利季季红2号理财产品(三年期) | 2023/01/20 | 0.990500 | 1.022700 | 27,133,300.64 |
丰盈弘利季季红3号理财产品(三年期) | 2023/01/20 | 1.003300 | 1.042000 | 14,653,282.16 |
丰盈增利FOF18个月最短持有期理财产品 | 2023/01/20 | 0.994163 | 0.994163 | 982,373,958.15 |
丰盈增利FOF36个月最短持有期理财产品(混合类) | 2023/01/20 | 0.984093 | 0.984093 | 108,388,035.41 |
丰盈长寿封闭式理财产品(精选2号) | 2023/01/20 | 1.046300 | 1.046300 | 523,107,948.85 |
丰盈长寿封闭式理财产品(精选3号) | 2023/01/20 | 1.047600 | 1.047600 | 463,702,650.44 |
丰盈长寿封闭式理财产品(精选4号) | 2023/01/20 | 1.011400 | 1.011400 | 107,429,896.60 |
丰盈长寿封闭式理财产品(精选5号) | 2023/01/20 | 1.012100 | 1.012100 | 298,622,568.97 |
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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。
晋商银行温馨提示:理财非存款,产品有风险,投资须谨慎!
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