杭银理财-幸福99添益90天周期型理财计划净值公告(2021年10月21日)

杭银理财幸福99添益90天周期型理财计划净值公告

(产品代码:TYG90D2101)

净值对应日期

产品单位净值

2021-10-21

1.0080

2021-10-20

1.0079

2021-10-19

1.0077

2021-10-18

1.0074

2021-10-17

1.0074

2021-10-16

1.0073

2021-10-15

1.0073

2021-10-14

1.0071

2021-10-13

1.0069

2021-10-12

1.0067

2021-10-11

1.0063

2021-10-10

1.0062

2021-10-09

1.0062

2021-10-08

1.0057

2021-10-07

1.0057

2021-10-06

1.0056

2021-10-05

1.0056

2021-10-04

1.0055

2021-10-03

1.0055

2021-10-02

1.0054

2021-10-01

1.0054

2021-9-30

1.0053

2021-9-29

1.0052

2021-9-28

1.0051

2021-9-27

1.0051

2021-9-26

1.0049

2021-9-25

1.0048

2021-9-24

1.0048

2021-9-23

1.0047

2021-9-22

1.0044

2021-9-21

1.0044

2021-9-20

1.0044

2021-9-19

1.0043

2021-9-18

1.0043

2021-9-17

1.0042

2021-9-16

1.0039

2021-9-15

1.0038

2021-9-14

1.0036

2021-9-13

1.0035

2021-9-12

1.0030

2021-9-11

1.0030

2021-9-10

1.0029

2021-9-09

1.0029

2021-9-08

1.0026

2021-9-07

1.0025

2021-9-06

1.0023

2021-9-05

1.0023

2021-9-04

1.0022

2021-9-03

1.0022

2021-9-02

1.0021

2021-9-01

1.0020

2021-8-31

1.0020

2021-8-30

1.0017

2021-8-29

1.0016

2021-8-28

1.0016

2021-8-27

1.0016

2021-8-26

1.0015

2021-8-25

1.0014

2021-8-24

1.0014

2021-8-23

1.0015

2021-8-22

1.0015

2021-8-21

1.0015

2021-8-20

1.0015

2021-8-19

1.0014

2021-8-18

1.0013