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盛京银行封闭式净值型产品最新净值
发布时间:2025年04月29日
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盛京银行封闭式净值型产品最新净值 |
序号 |
产品名称 |
产品资产净值 |
当前份额净值 |
累计份额净值 |
净值日期 |
1 |
盛京智盈添金2024039期(颐养迎五一特供) |
152,753,202.13 |
1.033723 |
1.033723 |
2025.4.27 |
2 |
盛京智盈添金2024040期(颐养立夏特供) |
290,129,690.00 |
1.032490 |
1.032490 |
2025.4.27 |
3 |
盛京智盈添金2024044期(铁岭分行专享) |
34,960,788.60 |
1.032510 |
1.032510 |
2025.4.27 |
4 |
盛京智盈添金2024045期(颐养芒种特供) |
102,822,100.00 |
1.028221 |
1.028221 |
2025.4.27 |
5 |
盛京智盈添金2024064期(颐养夏至特供) |
61,442,391.86 |
1.024040 |
1.024040 |
2025.4.27 |
6 |
盛京智盈添金2024065期(颐养小暑特供) |
51,232,550.00 |
1.024651 |
1.024651 |
2025.4.27 |
7 |
盛京智盈添金2024069期(颐养大暑特供) |
153,162,300.00 |
1.021082 |
1.021082 |
2025.4.27 |
8 |
盛京智盈添金2024070期(颐养立秋特供) |
110,095,831.31 |
1.020067 |
1.020067 |
2025.4.27 |
9 |
盛京智盈添金2024072期(铁岭分行专享) |
29,568,118.58 |
1.019942 |
1.019942 |
2025.4.27 |
10 |
盛京智盈添金2024073期(铁岭分行专享) |
28,818,448.00 |
1.019148 |
1.019148 |
2025.4.27 |
11 |
盛京智盈添金2024074期(颐养处暑特供) |
123,245,846.34 |
1.018561 |
1.018561 |
2025.4.27 |
12 |
盛京智盈添金2024075期(颐养初秋特供) |
101,830,031.26 |
1.018308 |
1.018308 |
2025.4.27 |
13 |
盛京智盈添金2024079期(颐养开学季特供) |
152,655,750.00 |
1.017705 |
1.017705 |
2025.4.27 |
14 |
盛京智盈添金2024080期(颐养白露特供) |
101,725,300.00 |
1.017253 |
1.017253 |
2025.4.27 |
15 |
盛京智盈添金2024092期(铁岭分行专享) |
26,115,353.04 |
1.016953 |
1.016953 |
2025.4.27 |
16 |
盛京智盈添金2024094期(北京分行专享) |
10,173,370.00 |
1.017337 |
1.017337 |
2025.4.27 |
17 |
盛京智盈添金2024095期(颐养迎国庆特供) |
41,636,894.00 |
1.015534 |
1.015534 |
2025.4.27 |
18 |
盛京智盈添金2024099期(颐养国庆节特供) |
130,462,045.20 |
1.014795 |
1.014795 |
2025.4.27 |
19 |
盛京智盈添金2024100期(颐养深秋特供) |
101,435,100.00 |
1.014351 |
1.014351 |
2025.4.27 |
20 |
盛京智盈添金2024104期(颐养霜降特供) |
140,182,594.52 |
1.013759 |
1.013759 |
2025.4.27 |
21 |
盛京智盈添金2024105期(分行专享) |
27,745,475.04 |
1.014089 |
1.014089 |
2025.4.27 |
22 |
盛京智盈添金2024109期(铁岭分行专享) |
21,454,928.08 |
1.013938 |
1.013938 |
2025.4.27 |
23 |
盛京智盈添金2024110期(颐养暖心特供) |
148,014,245.28 |
1.013241 |
1.013241 |
2025.4.27 |
24 |
盛京智盈添金2024115期(铁岭分行专享) |
19,822,319.16 |
1.013411 |
1.013411 |
2025.4.27 |
25 |
盛京智盈添金2024118期(分行双十一专享) |
101,279,700.00 |
1.012797 |
1.012797 |
2025.4.27 |
26 |
盛京智盈添金2024119期(颐养立冬特供) |
101,319,674.16 |
1.012488 |
1.012488 |
2025.4.27 |
27 |
盛京智盈添金2024120期(分行专享) |
23,149,128.35 |
1.012205 |
1.012205 |
2025.4.27 |
28 |
盛京智盈添金2024124期(颐养暖冬特供) |
83,265,632.12 |
1.011979 |
1.011979 |
2025.4.27 |
29 |
盛京智盈添金2024125期(颐养小雪特供) |
79,987,126.68 |
1.011471 |
1.011471 |
2025.4.27 |
30 |
盛京智盈添金2024128期(颐养冬至特供) |
71,601,867.00 |
1.008477 |
1.008477 |
2025.4.27 |
31 |
盛京智盈添金2024129期(颐养感恩特供) |
80,826,914.20 |
1.010336 |
1.010336 |
2025.4.27 |
32 |
盛京智盈添金2024130期(颐养大雪特供) |
90,895,230.00 |
1.009947 |
1.009947 |
2025.4.27 |
33 |
盛京智盈添金2025001期(抚顺分行专享) |
100,550,700.00 |
1.005507 |
1.005507 |
2025.4.27 |
34 |
盛京智盈添金2025004期(颐养大寒暖心特供) |
131,956,950.69 |
1.006767 |
1.006767 |
2025.4.27 |
35 |
盛京智盈添金2025005期(颐养新年特供) |
126,640,110.30 |
1.007479 |
1.007479 |
2025.4.27 |
36 |
盛京智盈添金2025009期(颐养春节特供) |
21,186,040.40 |
1.005507 |
1.005507 |
2025.4.27 |
37 |
盛京智盈添金2025010期(颐养元宵节特供) |
201,068,400.00 |
1.005342 |
1.005342 |
2025.4.27 |
38 |
盛京智盈添金2025014期(颐养雨水特供) |
102,486,846.00 |
1.004773 |
1.004773 |
2025.4.27 |
39 |
盛京智盈添金2025015期(开学季特供) |
94,408,430.00 |
1.004345 |
1.004345 |
2025.4.27 |
40 |
盛京智盈添金2025019期(颐养惊蛰特供) |
160,615,520.00 |
1.003847 |
1.003847 |
2025.4.27 |
41 |
盛京智盈添金2025020期(妇女节特供) |
220,590,513.99 |
1.003277 |
1.003277 |
2025.4.27 |
42 |
盛京智盈添金2025024期(颐养春分特供) |
180,379,706.64 |
1.002778 |
1.002778 |
2025.4.27 |
43 |
盛京智盈添金2025025期(颐养春生特供) |
199,437,554.84 |
1.002199 |
1.002199 |
2025.4.27 |
44 |
盛京智盈添金2025029期(分行分享) |
53,827,171.40 |
1.001995 |
1.001995 |
2025.4.27 |
45 |
盛京智盈添金2025030期(颐养清明特供) |
160,290,560.00 |
1.001816 |
1.001816 |
2025.4.27 |
46 |
盛京智盈添金2025034期(颐养踏青特供) |
170,129,690.95 |
1.000763 |
1.000763 |
2025.4.27 |
47 |
盛京智盈添金2025044期(颐养谷雨特供) |
80,061,440.00 |
1.000768 |
1.000768 |
2025.4.27 |
48 |
盛京智盈添金2025045期(颐养熙春特供) |
30,004,540.28 |
1.000151 |
1.000151 |
2025.4.27 |