广发银行“幸福理财”幸福鎏金-日日薪1号净值型理财产品收益的公告

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理财公告


广发银行“幸福理财”幸福鎏金-日日薪1号净值型理财

产品收益的公告

尊敬的客户:

广发银行“幸福理财”幸福鎏金-日日薪1号净值型理财产品(产品代码:XFLJRRX0001)最新每万份收益与七日年化收益率具体公告如下:

日期

每万份收益(元)

七日年化收益率

2021-01-26

0.7900

3.1810%

2021-01-25

1.1615

3.1952%

2021-01-24

0.7869

3.1927%

2021-01-23

0.7867

3.1876%

2021-01-22

0.7866

3.1838%

2021-01-21

0.8804

3.2047%

2021-01-20

0.8137

3.1930%

2021-01-19

0.8163

3.2466%

2021-01-18

1.1569

3.2749%

2021-01-17

0.7775

3.0733%

2021-01-16

0.7796

3.0728%

2021-01-15

 

0.8254

 

3.0712%

2021-01-14

0.8587

3.0999%

2021-01-13

0.9133

3.1053%

2021-01-12

0.8689

3.0283%

2021-01-11

0.7820

2.9889%

2021-01-10

0.7767

2.9612%

2021-01-09

0.7766

 

2.9449%

 

2021-01-08

0.8787

2.9287%

2021-01-07

0.8688

2.8577%

2021-01-06

0.7701

2.8306%

2021-01-05

0.7955

2.8663%

2021-01-04

0.7303

2.8726%

2021-01-03

0.7465

2.8704%

2021-01-02

0.7464

2.8753%

2021-01-01

0.7463

2.8802%

2020-12-31

0.8182

2.8872%

2020-12-30

0.8367

2.8400%

2020-12-29

0.8073

2.7510%

2020-12-28

0.7261

2.7014%

2020-12-27

0.7557

2.7242%

2020-12-26

0.7556

2.7221%

2020-12-25

0.7592

2.7199%

2020-12-24

0.7303

2.7287%

2020-12-23

0.6706

3.1161%

2020-12-22

0.7147

3.4858%

2020-12-21

0.7687

3.5849%

2020-12-20

0.7517

3.5191%

2020-12-19

0.7516

3.4665%

2020-12-18

0.7756

3.4140%

2020-12-17

1.4522

3.1882%

2020-12-16

1.3570

2.5810%

2020-12-15

0.8983

2.0610%

2020-12-14

0.6469

1.7864%

2020-12-13

0.6542

1.6473%

2020-12-12

0.6542

1.5026%

2020-12-11

0.3565

1.3582%

2020-12-10

0.3202

1.3740%

2020-12-09

0.3823

1.4080%

2020-12-08

0.3815

1.4183%

2020-12-07

0.3847

1.4369%

2020-12-06

0.3810

1.4407%

2020-12-05

0.3810

1.4488%

2020-12-04

0.3865

1.4610%

2020-12-03

0.3845

1.4744%

2020-12-02

0.4018

1.5049%

2020-12-01

0.4167

1.5325%

特别提示:本理财计划为非保本浮动收益净值型理财计划,存在本金损失的可能。本计划定期公布的理财收益或类似表述并非承诺收益率,不代表投资者可能获得的实际收益,亦不构成银行对理财计划的任何收益承诺。投资者获得的最终收益以广发银行实际支付为准。

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