齐鲁银行客户周期净值型理财产品净值公告
尊敬的投资者:
齐鲁银行客户周期净值型理财产品运作状况良好,2025年12月10日各产品净值公布如下:
| 产品编号 |
产品名称 |
产品单位净值 |
产品累计净值 |
资产净值 |
当日年化收益率 |
七日年化收益率 |
| GY210006 |
畅盈九州稳赢6号 |
1.14208472 |
1.14208472 |
529,841,854.12 |
2.95% |
1.97% |
| W10501A |
泉心盈105天1号A款 |
1.10596567 |
1.10596567 |
259,281,618.20 |
2.1% |
1.68% |
| W10501B |
泉心盈105天1号B款 |
1.10959641 |
1.10959641 |
572,933,169.82 |
2.2% |
1.78% |
| W10502A |
泉心盈105天2号A款 |
1.10271889 |
1.10271889 |
128,507,554.49 |
2.41% |
1.71% |
| W10502B |
泉心盈105天2号B款 |
1.10630548 |
1.10630548 |
310,016,906.84 |
2.51% |
1.81% |
| W10503A |
泉心盈105天3号A款 |
1.10063681 |
1.10063681 |
199,474,235.67 |
2.42% |
1.77% |
| W10503B |
泉心盈105天3号B款 |
1.10417852 |
1.10417852 |
213,007,742.17 |
2.52% |
1.87% |
| W10504A |
泉心盈105天4号A款 |
1.10088958 |
1.10088958 |
176,559,666.52 |
2.4% |
1.23% |
| W10504B |
泉心盈105天4号B款 |
1.10438866 |
1.10438866 |
247,869,365.15 |
2.5% |
1.31% |
| W10505A |
泉心盈105天5号A款 |
1.09716068 |
1.09716068 |
96,993,480.21 |
2.71% |
1.65% |
| W10505B |
泉心盈105天5号B款 |
1.10054137 |
1.10054137 |
156,639,136.24 |
2.8% |
1.75% |
| W10506A |
泉心盈105天6号A款 |
1.09244677 |
1.09244677 |
136,327,945.51 |
2.23% |
1.77% |
| W10506B |
泉心盈105天6号B款 |
1.09578344 |
1.09578344 |
197,706,007.08 |
2.33% |
1.87% |
| W10507A |
泉心盈105天7号A款 |
1.0959131 |
1.0959131 |
185,319,159.43 |
3.6% |
1.88% |
| W10507B |
泉心盈105天7号B款 |
1.09926362 |
1.09926362 |
211,745,173.90 |
3.7% |
1.98% |
| W10508A |
泉心盈105天8号A款 |
1.09805905 |
1.09805905 |
478,387,362.74 |
3.08% |
1.9% |
| W10508B |
泉心盈105天8号B款 |
1.10139785 |
1.10139785 |
479,734,870.29 |
3.18% |
2.0% |
| W2100035 |
泉心盈35天 |
1.14139804 |
1.14139804 |
5,396,495,796.71 |
1.84% |
1.47% |
| W2100091 |
泉心盈91天 |
1.14807065 |
1.14807065 |
4,246,364,271.29 |
2.48% |
1.79% |
| W210182D |
泉心盈182天净值型 |
1.14378537 |
1.14378537 |
6,083,699,487.62 |
3.66% |
1.65% |
备注:认(申)购价格和赎回价格即为产品份额净值。
齐鲁银行股份有限公司
2025年12月11日

