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  • 葫蘆島銀行“金葫蘆”恒信系列理財(cái)產(chǎn)品凈值公告20250108

    產(chǎn)品名稱

    凈值日期

    單位凈值

    資產(chǎn)凈值(元)

    “金葫蘆”恒信472

    2025-01-07

    1.014381

    30,427,372.48

    “金葫蘆”恒信474

    2025-01-07

    1.013348

    30,400,440.00

    “金葫蘆”恒信487

    2025-01-07

    1.007123

    30,210,668.63

    “金葫蘆”恒信488

    2025-01-07

    1.007408

    60,442,465.18

    “金葫蘆”恒信489

    2025-01-07

    1.007408

    30,218,210.37

    “金葫蘆”恒信490

    2025-01-07

    1.006164

    40,246,560.00

    “金葫蘆”恒信491

    2025-01-07

    1.006411

    20,128,220.00

    “金葫蘆”恒信492

    2025-01-07

    1.005685

    40,227,400.00

    “金葫蘆”恒信493

    2025-01-07

    1.005912

    30,154,224.02

    “金葫蘆”恒信494

    2025-01-07

    1.005414

    30,126,225.10

    “金葫蘆”恒信495

    2025-01-07

    1.005414

    30,159,403.76

    “金葫蘆”恒信498

    2025-01-07

    1.004077

    30,117,289.62

    “金葫蘆”恒信499

    2025-01-07

    1.004247

    30,127,410.00

    “金葫蘆”恒信501

    2025-01-07

    1.003156

    12,037,872.00

    “金葫蘆”恒信503

    2025-01-07

    1.002527

    50,124,344.95

    “金葫蘆”恒信505

    2025-01-07

    1.001664

    30,046,915.01

    “金葫蘆”恒信506

    2025-01-07

    1.001233

    30,036,990.00