产品列表 
  
 
  - 财收有略六个月2024年28号D款
- CSFB6M24028D
- 02
- 0
- 8
- 03
- 2.8%-3.4%
- 2.8%-3.4%
- 20240603
- 20240611
- 20240612
- 20241217
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年28号D款
- CSFB6M24028D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24028D_00057015_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24028D_00057007_6.pdf
- 0
- 1
- 代销渤银理财
- 财收12号C款六个月封闭
- CSFB6M24012C
- 02
- 0
- 8
- 03
- 2.9%-3.3%
- 2.9%-3.3%
- 20240226
- 20240229
- 20240301
- 20240904
- 1900-01-01
- 187
- 01,02,03,04
- 封闭净值
- 01,02
- 财收12号C款六个月封闭
- CSFB6M24012C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24012C_00038006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24012C_00036011_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年48号B款
- CSFB3Y25048B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20251020
- 20251027
- 20251028
- 20281102
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年48号B款
- CSFB3Y25048B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25048B_00116102_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25048B_00116092_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年46号E款
- CSFB9M25046E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250917
- 20250924
- 20250925
- 20260702
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年46号E款
- CSFB9M25046E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25046E_00116035_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25046E_00116028_6.pdf
- 0
- 1
- 代销渤银理财
- “安盈”稳进6个月持有期6号理财产品
- PNHY250208A
- 02
- 1
- 0
- 03
- 详见说明书(新品发售)
- 详见说明书(新品发售)
- 20250630
- 20250701
- 20250702
- 20991231
- 1900-01-01
- 27210
- 01,02,03,04
- 开放净值
- 01,02
- “安盈”稳进6个月持有期6号理财产品
- PNHY250208A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250208A_00116160_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250208A_00116156_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式77号A类份额
- YJ01250407A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250522
- 20250528
- 20250529
- 20260708
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式77号A类份额
- YJ01250407A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250407A_00106023_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2025年14号D款
- CSFB6M25014D
- 02
- 0
- 8
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20250224
- 20250303
- 20250304
- 20250911
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年14号D款
- CSFB6M25014D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25014D_00101043_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25014D_00101039_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年42号E款
- CSFB1Y25042E
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20250317
- 20250324
- 20250325
- 20260414
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年42号E款
- CSFB1Y25042E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25042E_00101066_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25042E_00101059_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年110号C款
- CSFB1Y25110C
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20251009
- 20251013
- 20251014
- 20261105
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年110号C款
- CSFB1Y25110C
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25110C_00115083_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25110C_00115070_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年568期固收类理财产品
- 9N24568G
- 02
- 0
- 4
- 03
- 2.55%-2.75%
- 2.55%-2.75%
- 20240903
- 20240909
- 20240910
- 20250930
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年568期固收类理财产品
- 9N24568G
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24568G_00079022_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24568G_00079018_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略二年2025年29号C款(财富节限定)
- CSFB2Y25029C
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250623
- 20250630
- 20250701
- 20270708
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年29号C款(财富节限定)
- CSFB2Y25029C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25029C_00108024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25029C_00108014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年10号E款
- CSFB1Y24010E
- 02
- 0
- 8
- 03
- 2.95%-3.8%
- 2.95%-3.8%
- 20240401
- 20240408
- 20240409
- 20250424
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年10号E款
- CSFB1Y24010E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24010E_00046027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24010E_00046023_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式66号固收类理财产品
- 9K24366A
- 02
- 0
- 4
- 03
- 2.9%-3.1%
- 2.9%-3.1%
- 20240717
- 20240723
- 20240724
- 20251011
- 1900-01-01
- 444
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式66号固收类理财产品
- 9K24366A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24366A_00070010_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24366A_00070002_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式96号A类份额
- YJ01250522A
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250529
- 20250604
- 20250605
- 20260114
- 1900-01-01
- 223
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式96号A类份额
- YJ01250522A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250522A_00105007_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略内测154号-渤银理财固收封闭理财
- CSYLFB23154
- 02
- 0
- 8
- 03
- 1.00%-2.00%
- 1.00%-2.00%
- 20231227
- 20231227
- 20231228
- 20240625
- 1900-01-01
- 180
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略内测154号-渤银理财固收封闭理财
- CSYLFB23154
- 1.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB23154_7_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB23154_7_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250313C
- 02
- 0
- 4
- 03
- 2.65%-2.95%
- 2.65%-2.95%
- 20250730
- 20250806
- 20250807
- 20260811
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250313C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250313C_00109153_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250313C_00109149_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略三个月2024年10号-渤银理财固收封闭理财
- CSYLFB3M24010
- 02
- 0
- 8
- 03
- 2.7%-3.2%
- 2.7%-3.2%
- 20240201
- 20240205
- 20240206
- 20240516
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年10号-渤银理财固收封闭理财
- CSYLFB3M24010
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24010_00031019_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24010_00031015_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略九个月2025年3号C款
- CSFB9M25003C
- 02
- 0
- 9
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20250428
- 20250507
- 20250508
- 20260212
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年3号C款
- CSFB9M25003C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25003C_00102181_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25003C_00102174_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年49号B款
- CSFB3Y25049B
- 02
- 1
- 1
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20251027
- 20251103
- 20251104
- 20281109
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年49号B款
- CSFB3Y25049B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25049B_00116152_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25049B_00116142_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2024年307期固收类理财产品
- 9A24307D
- 01
- 0
- 8
- 03
- 2.3%
- 2.3%
- 20240830
- 20240904
- 20240905
- 20250109
- 1900-01-01
- 126
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年307期固收类理财产品
- 9A24307D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24307D_00078033_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24307D_00078030_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2025年1号A款
- CSFB6M25001A
- 02
- 0
- 8
- 03
- 2.30%-2.80%
- 2.30%-2.80%
- 20250106
- 20250113
- 20250114
- 20250724
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年1号A款
- CSFB6M25001A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25001A_00097006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25001A_00097002_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭1年
- PNHY250402B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250924
- 20250926
- 20250929
- 20261009
- 1900-01-01
- 375
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭1年
- PNHY250402B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250402B_00115045_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250402B_00115037_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略六个月2024年60号E款
- CSFB6M24060E
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20241015
- 20241021
- 20241022
- 20250429
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年60号E款
- CSFB6M24060E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24060E_00080033_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24060E_00080029_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年55号A款
- CSFB1Y25055A
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250611
- 20250618
- 20250619
- 20260716
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年55号A款
- CSFB1Y25055A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25055A_00107009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25055A_00107002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式76号A类份额
- YJ01250406A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250515
- 20250521
- 20250522
- 20260702
- 1900-01-01
- 406
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式76号A类份额
- YJ01250406A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250406A_00105002_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年54号C款
- CSYLFB3M24054C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240918
- 20240925
- 20240926
- 20250109
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年54号C款
- CSYLFB3M24054C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24054C_00079051_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24054C_00079047_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年45号E款
- CSFB9M25045E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250903
- 20250910
- 20250911
- 20260624
- 1900-01-01
- 286
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年45号E款
- CSFB9M25045E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25045E_00113080_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25045E_00113073_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式139号Q类份额
- YJ01250719Q
- 02
- 0
- 4
- 03
- 2.10%
- 2.10%
- 20250929
- 20251010
- 20251011
- 20260226
- 1900-01-01
- 138
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式139号Q类份额
- YJ01250719Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250719Q_00115067_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年58号C款
- CSFB6M24058C
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20240926
- 20241008
- 20241009
- 20250424
- 1900-01-01
- 197
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年58号C款
- CSFB6M24058C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24058C_00078092_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24058C_00078085_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年1号C款
- CSFB1Y25001C
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250106
- 20250113
- 20250114
- 20260129
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年1号C款
- CSFB1Y25001C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25001C_00097009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25001C_00097002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式163号A类份额
- YJ01250679A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250814
- 20250820
- 20250821
- 20261014
- 1900-01-01
- 419
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式163号A类份额
- YJ01250679A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250679A_00112034_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年28号B款
- CSYLFB3M24028B
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240425
- 20240506
- 20240507
- 20240822
- 1900-01-01
- 107
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年28号B款
- CSYLFB3M24028B
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24028B_00046128_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24028B_00046124_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式95号A类份额
- YJ01250521A
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250522
- 20250528
- 20250529
- 20260107
- 1900-01-01
- 223
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式95号A类份额
- YJ01250521A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250521A_00106023_6.pdf
- 0
- 1
- 代销北银理财
- 春系列诚享14天持有期10号A类份额
- YJ01250348A
- 02
- 1
- 0
- 03
- 0
- 0
- 20250625
- 20250626
- 20250627
- 20991231
- 1900-01-01
- 27215
- 01,02,03,04
- 开放净值
- 01,02
- 春系列诚享14天持有期10号A类份额
- YJ01250348A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250348A_00115161_6.pdf
- 0
- 1
- 代销北银理财
- 春系列固收封闭式212号M类份额
- YJ01240735M
- 02
- 0
- 8
- 03
- 2.5500%~2.7500%
- 2.5500%~2.7500%
- 20240822
- 20240828
- 20240829
- 20250312
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式212号M类份额
- YJ01240735M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240735M_00076036_6.pdf
- 0
- 1
- 代销北银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250366C
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250828
- 20250903
- 20250904
- 20260908
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250366C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250366C_00112104_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250366C_00112100_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略六个月2025年7号D款
- CSFB6M25007D
- 02
- 0
- 8
- 03
- 2.25%-2.65%
- 2.25%-2.65%
- 20250331
- 20250407
- 20250408
- 20251023
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年7号D款
- CSFB6M25007D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//CSFB6M25007D_00102121_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年61号E款
- CSFB6M24061E
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20240918
- 20240925
- 20240926
- 20250410
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年61号E款
- CSFB6M24061E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24061E_00079054_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24061E_00079047_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式51号A类份额
- YJ01250251A
- 02
- 0
- 8
- 03
- 2.3000%~2.5000%
- 2.3000%~2.5000%
- 20250313
- 20250319
- 20250320
- 20250924
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式51号A类份额
- YJ01250251A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250251A_00101056_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式38号A类份额
- YJ01241221A
- 02
- 0
- 4
- 03
- 2.8500%~3.0500%
- 2.8500%~3.0500%
- 20250109
- 20250115
- 20250116
- 20260311
- 1900-01-01
- 419
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式38号A类份额
- YJ01241221A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241221A_00098004_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年106号C款
- CSFB1Y25106C
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20251013
- 20251020
- 20251021
- 20261105
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年106号C款
- CSFB1Y25106C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25106C_00116070_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25106C_00116066_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年96号C款
- CSFB1Y25096C
- 02
- 0
- 9
- 03
- 2.55%-3.15%
- 2.55%-3.15%
- 20250929
- 20251009
- 20251010
- 20261029
- 1900-01-01
- 384
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年96号C款
- CSFB1Y25096C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25096C_00116054_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25096C_00116053_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年3号B款
- CSFB3Y25003B
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250326
- 20250331
- 20250401
- 20280420
- 1900-01-01
- 1115
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年3号B款
- CSFB3Y25003B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25003B_00101085_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25003B_00101076_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式251号A类份额
- YJ01250802A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250828
- 20250903
- 20250904
- 20261028
- 1900-01-01
- 419
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式251号A类份额
- YJ01250802A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250802A_00113068_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利安盈封闭式2024年404期固收类理财产品
- 9A24404A
- 01
- 0
- 4
- 03
- 2.3%-2.6%
- 2.3%-2.6%
- 20240717
- 20240724
- 20240725
- 20250106
- 1900-01-01
- 165
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年404期固收类理财产品
- 9A24404A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24404A_00070006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24404A_00070002_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式161号A类份额
- YJ01250677A
- 02
- 0
- 4
- 03
- 2.65%
- 2.65%
- 20250730
- 20250806
- 20250807
- 20260916
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式161号A类份额
- YJ01250677A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250677A_00108141_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年80号B款
- CSFB1Y25080B
- 02
- 0
- 9
- 03
- 2.40%-3.00%
- 2.40%-3.00%
- 20250825
- 20250901
- 20250902
- 20260910
- 1900-01-01
- 373
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年80号B款
- CSFB1Y25080B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25080B_00112072_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25080B_00112062_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年570期固收类理财产品
- 9N24570B
- 02
- 0
- 4
- 03
- 2.9%
- 2.9%
- 20240925
- 20241009
- 20241010
- 20261126
- 1900-01-01
- 777
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年570期固收类理财产品
- 9N24570B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24570B_00078080_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24570B_00078076_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略三年2025年46号B款
- CSFB3Y25046B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250908
- 20250915
- 20250916
- 20280921
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年46号B款
- CSFB3Y25046B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25046B_00112144_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25046B_00112134_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年25号A款
- CSFB3Y25025A
- 02
- 0
- 9
- 03
- 2.65%-3.35%
- 2.65%-3.35%
- 20250507
- 20250512
- 20250513
- 20280601
- 1900-01-01
- 1115
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年25号A款
- CSFB3Y25025A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25025A_00102237_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25025A_00102224_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利逸动3个月最短持有期日开1号增强型固收类理财产品
- 9K70701A
- 02
- 1
- 0
- 03
- 2%-4%
- 2%-4%
- 20230324
- 20230406
- 20230407
- 20991230
- 1900-01-01
- 28026
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利逸动3个月最短持有期日开1号增强型固收类理财产品
- 9K70701A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K70701A_00102249_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K70701A_00102241_6.pdf
- 0
- 1
- 代销兴银理财
- 理财有术晨夕盈6号-渤银理财固收日开理财
- LCYSRK006
- 02
- 1
- 0
- 03
- 中债综合财富(1年以下)指数收益率*70%+中国人民银行公布...
- 中债综合财富(1年以下)指数收益率*70%+中国人民银行公布...
- 20230814
- 20230815
- 20230816
- 20991231
- 1900-01-01
- 27896
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术晨夕盈6号-渤银理财固收日开理财
- LCYSRK006
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYSRK006_00116036_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYSRK006_00055016_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年51号G号
- CSFB6M24051G
- 02
- 0
- 8
- 03
- 2.45%-3.05%
- 2.45%-3.05%
- 20240902
- 20240909
- 20240910
- 20250327
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年51号G号
- CSFB6M24051G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24051G_00078042_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24051G_00078035_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年107号E款(钻石客户专享)
- CSFB1Y24107E
- 02
- 0
- 9
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20241218
- 20241223
- 20241224
- 20260121
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年107号E款(钻石客户专享)
- CSFB1Y24107E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24107E_00091009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24107E_00091002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略九个月2025年9号A款
- CSFB9M25009A
- 02
- 0
- 9
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20250519
- 20250526
- 20250527
- 20260311
- 1900-01-01
- 288
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年9号A款
- CSFB9M25009A
- 15000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25009A_00106017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25009A_00106013_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年47号E款
- CSFB9M25047E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250924
- 20251009
- 20251010
- 20260716
- 1900-01-01
- 279
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年47号E款
- CSFB9M25047E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25047E_00115036_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25047E_00115029_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式97号理财产品
- YJ01250523
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250605
- 20250611
- 20250612
- 20260121
- 1900-01-01
- 223
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式97号理财产品
- YJ01250523
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//YJ01250523_00105029_0.pdf
- /boimc/fileDir/resource/file/dxlc//YJ01250523_00105028_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式78号A类份额
- YJ01250408A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250529
- 20250604
- 20250605
- 20260715
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式78号A类份额
- YJ01250408A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250408A_00105007_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年73号C款
- CSFB1Y24073C
- 02
- 0
- 8
- 03
- 2.7%-3.4%
- 2.7%-3.4%
- 20240801
- 20240805
- 20240806
- 20250828
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年73号C款
- CSFB1Y24073C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24073C_00074009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24073C_00074002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列固收封闭式211号M类份额
- YJ01240734M
- 02
- 0
- 8
- 03
- 2.6500%~2.8500%
- 2.6500%~2.8500%
- 20240815
- 20240821
- 20240822
- 20250305
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式211号M类份额
- YJ01240734M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240734M_00077013_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式85号A类份额
- YJ01250415A
- 02
- 0
- 4
- 03
- 2.5500%~2.7500%
- 2.5500%~2.7500%
- 20250627
- 20250702
- 20250703
- 20260812
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式85号A类份额
- YJ01250415A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250415A_00108061_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式75号A类份额
- YJ01250405A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250507
- 20250514
- 20250515
- 20260624
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式75号A类份额
- YJ01250405A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250405A_00101114_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略九个月2025年44号E款
- CSFB9M25044E
- 02
- 0
- 9
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20251009
- 20251015
- 20251016
- 20260723
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年44号E款
- CSFB9M25044E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25044E_00115080_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25044E_00115070_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250460B
- 02
- 1
- 1
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20251030
- 20251105
- 20251106
- 20261110
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250460B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250460B_00116183_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250460B_00116179_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年2024年43号D款
- CSFB1Y24043D
- 02
- 0
- 8
- 03
- 2.9%-3.7%
- 2.9%-3.7%
- 20240508
- 20240513
- 20240514
- 20250603
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年43号D款
- CSFB1Y24043D
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24043D_00049022_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24043D_00049018_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年33号D款
- CSFB1Y24033D
- 02
- 0
- 8
- 03
- 2.85%-3.65%
- 2.85%-3.65%
- 20240408
- 20240410
- 20240411
- 20250513
- 1900-01-01
- 397
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年33号D款
- CSFB1Y24033D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24033D_00046037_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24033D_00046033_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2025年452期固收类理财产品
- 9A25452D
- 01
- 0
- 4
- 03
- 2.05%-2.35%
- 2.05%-2.35%
- 20250305
- 20250312
- 20250313
- 20250925
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2025年452期固收类理财产品
- 9A25452D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A25452D_00102074_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A25452D_00102066_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年11号F款
- CSFB1Y25011F
- 02
- 0
- 9
- 03
- 2.30%-3.10%
- 2.30%-3.10%
- 20250212
- 20250217
- 20250218
- 20260312
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年11号F款
- CSFB1Y25011F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25011F_00102050_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25011F_00102043_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列固收封闭式214号M类份额
- YJ01240737M
- 02
- 0
- 8
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20240829
- 20240904
- 20240905
- 20250319
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式214号M类份额
- YJ01240737M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240737M_00079007_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年71号F款(财富节限定)
- CSFB1Y25071F
- 02
- 0
- 9
- 03
- 2.70%-3.00%
- 2.70%-3.00%
- 20250714
- 20250721
- 20250722
- 20260806
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年71号F款(财富节限定)
- CSFB1Y25071F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25071F_00108120_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25071F_00108116_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动9个月最短持有期日开2号固收类理财产品
- 9T32003A
- 02
- 1
- 0
- 03
- 2.1%-4%
- 2.1%-4%
- 20240509
- 20240520
- 20240521
- 20991230
- 1900-01-01
- 27616
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利悦动9个月最短持有期日开2号固收类理财产品
- 9T32003A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9T32003A_00109104_0.pdf
- /boimc/fileDir/resource/file/dxlc//9T32003A_00109096_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2024年38号B款
- CSFB1Y24038B
- 02
- 0
- 8
- 03
- 3.05%-3.75%
- 3.05%-3.75%
- 20240527
- 20240603
- 20240604
- 20250626
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年38号B款
- CSFB1Y24038B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24038B_00055019_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24038B_00056002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年47号G款
- CSFB6M24047G
- 02
- 0
- 8
- 03
- 2.35%-2.95%
- 2.35%-2.95%
- 20240812
- 20240819
- 20240820
- 20250306
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年47号G款
- CSFB6M24047G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24047G_00077009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24047G_00077002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略九个月2025年6号A款
- CSFB9M25006A
- 02
- 0
- 9
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20250507
- 20250512
- 20250513
- 20260212
- 1900-01-01
- 275
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年6号A款
- CSFB9M25006A
- 15000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25006A_00102231_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25006A_00102224_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式110号A类份额
- YJ01250516A
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20250814
- 20250820
- 20250821
- 20260304
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式110号A类份额
- YJ01250516A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250516A_00112034_6.pdf
- 0
- 1
- 代销北银理财
- 春系列固收封闭式204号M类份额
- YJ01240727M
- 02
- 0
- 8
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20240829
- 20240904
- 20240905
- 20241225
- 1900-01-01
- 111
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式204号M类份额
- YJ01240727M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240727M_00079007_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式113号A类份额
- YJ01250576A
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250605
- 20250611
- 20250612
- 20250924
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式113号A类份额
- YJ01250576A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//YJ01250576A_00105026_0.pdf
- /boimc/fileDir/resource/file/dxlc//YJ01250576A_00105027_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年64号D款
- CSFB1Y25064D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250804
- 20250811
- 20250812
- 20260827
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年64号D款
- CSFB1Y25064D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25064D_00112006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25064D_00112002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式200号A类份额
- YJ01250855A
- 02
- 0
- 4
- 03
- 2.3500%~2.5500%
- 2.3500%~2.5500%
- 20251023
- 20251029
- 20251030
- 20261209
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式200号A类份额
- YJ01250855A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250855A_00115145_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年30号B款
- CSYLFB3M24030B
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20240513
- 20240520
- 20240521
- 20240829
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年30号B款
- CSYLFB3M24030B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24030B_00050016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24030B_00054005_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年41号C款
- CSFB6M25041C
- 02
- 0
- 9
- 03
- 2.20%-2.50%
- 2.20%-2.50%
- 20250723
- 20250730
- 20250731
- 20260205
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年41号C款
- CSFB6M25041C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25041C_00109122_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25041C_00109118_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年51号C款
- CSYLFB3M24051C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240926
- 20241008
- 20241009
- 20250116
- 1900-01-01
- 99
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年51号C款
- CSYLFB3M24051C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24051C_00078089_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24051C_00078085_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年360期固收类理财产品
- 9N24360B
- 02
- 0
- 4
- 03
- 2.85%-3.05%
- 2.85%-3.05%
- 20240704
- 20240710
- 20240711
- 20250812
- 1900-01-01
- 397
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年360期固收类理财产品
- 9N24360B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24360B_00066010_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24360B_00066002_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式74号A类份额
- YJ01250404A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250428
- 20250506
- 20250507
- 20260617
- 1900-01-01
- 406
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式74号A类份额
- YJ01250404A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250404A_00101108_6.pdf
- 0
- 1
- 代销北银理财
- 春系列固收封闭式215号M类份额
- YJ01240738M
- 02
- 0
- 8
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20240905
- 20240911
- 20240912
- 20250326
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式215号M类份额
- YJ01240738M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240738M_00079028_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略九个月2025年7号C款
- CSFB9M25007C
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250528
- 20250604
- 20250605
- 20260312
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年7号C款
- CSFB9M25007C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25007C_00106053_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25007C_00106045_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式135号Q类份额
- YJ01250715Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250828
- 20250903
- 20250904
- 20260114
- 1900-01-01
- 132
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式135号Q类份额
- YJ01250715Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250715Q_00113068_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年72号C款
- CSFB6M24072C
- 02
- 0
- 8
- 03
- 2.35%-2.95%
- 2.35%-2.95%
- 20241202
- 20241209
- 20241210
- 20250619
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年72号C款
- CSFB6M24072C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24072C_00086011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24072C_00086007_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年33号D款
- CSFB9M25033D
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250730
- 20250806
- 20250807
- 20260514
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年33号D款
- CSFB9M25033D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25033D_00109161_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25033D_00109154_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2024年309期固收类理财产品
- 9A24309B
- 01
- 0
- 4
- 03
- 2.2%-2.6%
- 2.2%-2.6%
- 20240911
- 20240918
- 20240919
- 20250106
- 1900-01-01
- 109
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年309期固收类理财产品
- 9A24309B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24309B_00079041_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24309B_00079037_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2024年41号D款
- CSFB6M24041D
- 02
- 0
- 8
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20240723
- 20240731
- 20240801
- 20250211
- 1900-01-01
- 194
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年41号D款
- CSFB6M24041D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24041D_00071012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24041D_00071008_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年25号A款
- CSFB6M24025A
- 02
- 0
- 8
- 03
- 2.8%-3.4%
- 2.8%-3.4%
- 20240506
- 20240513
- 20240514
- 20241119
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年25号A款
- CSFB6M24025A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24025A_00049012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24025A_00049008_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列固收封闭式203号M类份额
- YJ01240726M
- 02
- 0
- 8
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20240822
- 20240828
- 20240829
- 20241218
- 1900-01-01
- 111
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式203号M类份额
- YJ01240726M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240726M_00076036_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略六个月2025年36号C款
- CSFB6M25036C
- 02
- 0
- 9
- 03
- 2.30%-2.50%
- 2.30%-2.50%
- 20250609
- 20250616
- 20250617
- 20260108
- 1900-01-01
- 205
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年36号C款
- CSFB6M25036C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25036C_00105035_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25036C_00105032_6.pdf
- 0
- 1
- 代销渤银理财
- 财收26号D款一年封闭
- CSFB1Y24026D
- 02
- 0
- 8
- 03
- 2.95%-3.75%
- 2.95%-3.75%
- 20240304
- 20240306
- 20240307
- 20250327
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收26号D款一年封闭
- CSFB1Y24026D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24026D_00041008_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24026D_00041004_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年23号C款
- CSFB1Y24023C
- 02
- 0
- 8
- 03
- 2.95%-3.85%
- 2.95%-3.85%
- 20240318
- 20240320
- 20240321
- 20250410
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年23号C款
- CSFB1Y24023C
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24023C_00044021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24023C_00044017_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列全球配置180天持有期1号A类份额
- YJ01240801A
- 02
- 1
- 0
- 03
- 2.8500%~3.6000%
- 2.8500%~3.6000%
- 20241024
- 20241029
- 20241030
- 20991231
- 1900-01-01
- 27455
- 01,02,03,04
- 开放净值
- 01,02
- 春系列全球配置180天持有期1号A类份额
- YJ01240801A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240801A_00108004_6.pdf
- 0
- 1
- 代销北银理财
- 财收19号B款三个月封闭
- CSYLFB3M24019B
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20240219
- 20240226
- 20240227
- 20240606
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收19号B款三个月封闭
- CSYLFB3M24019B
- 50000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24019B_00033023_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24019B_00033026_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年81号D款(优享款)
- CSFB6M24081D
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20241111
- 20241119
- 20241120
- 20250528
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年81号D款(优享款)
- CSFB6M24081D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24081D_00082006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24081D_00082002_6.pdf
- 0
- 1
- 代销渤银理财
- 安盈稳进最低持有90天理财产品
- PNHY250378A
- 02
- 1
- 0
- 03
- (新品发售)详见说明书
- (新品发售)详见说明书
- 20250903
- 20250903
- 20250904
- 20991231
- 1900-01-01
- 27146
- 01,02,03,04
- 开放净值
- 01,02
- 安盈稳进最低持有90天理财产品
- PNHY250378A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250378A_00116165_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250378A_00116156_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略三年2025年44号B款
- CSFB3Y25044B
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250825
- 20250901
- 20250902
- 20280907
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年44号B款
- CSFB3Y25044B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25044B_00112078_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25044B_00112062_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年112号C款
- CSFB1Y25112C
- 02
- 1
- 1
- 03
- 2.55%-3.15%
- 2.55%-3.15%
- 20251027
- 20251103
- 20251104
- 20261119
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年112号C款
- CSFB1Y25112C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25112C_00116146_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25112C_00116142_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年65号F款(财富节限定)
- CSFB6M25065F
- 02
- 0
- 9
- 03
- 2.45%-2.65%
- 2.45%-2.65%
- 20250709
- 20250716
- 20250717
- 20260121
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年65号F款(财富节限定)
- CSFB6M25065F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25065F_00108106_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25065F_00108102_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利逸动9个月最短持有期日开1号增强型固收类理财产品
- 9K70801A
- 02
- 1
- 0
- 03
- 2.1%-4.1%
- 2.1%-4.1%
- 20221130
- 20221207
- 20221208
- 20991230
- 1900-01-01
- 28146
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利逸动9个月最短持有期日开1号增强型固收类理财产品
- 9K70801A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K70801A_00106038_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K70801A_00109027_6.pdf
- 0
- 1
- 代销兴银理财
- 兴银理财丰利悦动稳享封闭式67号固收类理财产品
- 9A27967B
- 02
- 0
- 4
- 03
- 2.85%-3.05%
- 2.85%-3.05%
- 20240807
- 20240813
- 20240814
- 20241118
- 1900-01-01
- 96
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式67号固收类理财产品
- 9A27967B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27967B_00076020_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27967B_00076016_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式50号A类份额
- YJ01241213A
- 02
- 0
- 8
- 03
- 2.3000%~2.5000%
- 2.3000%~2.5000%
- 20250306
- 20250312
- 20250313
- 20250917
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式50号A类份额
- YJ01241213A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241213A_00102080_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年54号C款
- CSFB1Y25054C
- 02
- 0
- 9
- 03
- 2.70%-3.00%
- 2.70%-3.00%
- 20250618
- 20250625
- 20250626
- 20260723
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年54号C款
- CSFB1Y25054C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25054C_00109020_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25054C_00109014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年封闭2024年12号C款
- CSFB1Y24012C
- 02
- 0
- 8
- 03
- 3.2%-3.85%
- 3.2%-3.85%
- 20240131
- 20240205
- 20240206
- 20250227
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年封闭2024年12号C款
- CSFB1Y24012C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24012C_00032006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24012C_00032005_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年64号C款
- CSYLFB3M24064C
- 02
- 0
- 8
- 03
- 2.2%-2.8%
- 2.2%-2.8%
- 20241008
- 20241014
- 20241015
- 20250123
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年64号C款
- CSYLFB3M24064C
- 5000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24064C_00080011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24064C_00080007_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式164号固收类理财产品
- 9A27164C
- 02
- 0
- 4
- 03
- 2.45%-2.65%
- 2.45%-2.65%
- 20241204
- 20241210
- 20241211
- 20250313
- 1900-01-01
- 92
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式164号固收类理财产品
- 9A27164C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27164C_00087006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27164C_00087002_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略三年2025年45号B款
- CSFB3Y25045B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250922
- 20250926
- 20250929
- 20281011
- 1900-01-01
- 1108
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年45号B款
- CSFB3Y25045B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25045B_00116052_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25045B_00116042_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年53号
- CSFB1Y25053
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250604
- 20250611
- 20250612
- 20260709
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年53号
- CSFB1Y25053
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25053_00105022_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25053_00105012_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈增利270天最短持有期固收1号理财产品D
- LCYS270CYZ1D
- 02
- 1
- 0
- 03
- 1.50%-2.50%
- 1.50%-2.50%
- 20250515
- 20250519
- 20250520
- 99991231
- 1900-01-01
- 2912668
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利270天最短持有期固收1号理财产品D
- LCYS270CYZ1D
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS270CYZ1D_00109079_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS270CYZ1D_00109075_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式65号固收类理财产品
- 9K24365A
- 02
- 0
- 4
- 03
- 2.9%-3.1%
- 2.9%-3.1%
- 20240710
- 20240716
- 20240717
- 20250919
- 1900-01-01
- 429
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式65号固收类理财产品
- 9K24365A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24365A_00067025_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24365A_00067021_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略九个月2025年36号E款
- CSFB9M25036E
- 02
- 0
- 9
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20251022
- 20251029
- 20251030
- 20260806
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年36号E款
- CSFB9M25036E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25036E_00116122_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25036E_00116115_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列天天金2号A
- TG01230601A
- 02
- 1
- 0
- 03
- 1.5000%~3.2000%
- 1.5000%~3.2000%
- 20230913
- 20230913
- 20230914
- 20991231
- 1900-01-01
- 27867
- 01,02,03,04
- 开放净值
- 01,02
- 北银理财京华远见春系列天天金2号A
- TG01230601A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01230601A_00089007_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年22号D款-渤银理财固收封闭理财
- CSYLFB3M24022D
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240311
- 20240318
- 20240319
- 20240627
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年22号D款-渤银理财固收封闭理财
- CSYLFB3M24022D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24022D_00043008_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24022D_00043004_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年35号D款
- CSFB6M24035D
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240520
- 20240527
- 20240528
- 20241203
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年35号D款
- CSFB6M24035D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24035D_00053011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24035D_00055014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年88号C款
- CSFB1Y25088C
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250915
- 20250922
- 20250923
- 20261021
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年88号C款
- CSFB1Y25088C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25088C_00116019_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25088C_00116015_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式134号Q类份额
- YJ01250714Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250821
- 20250827
- 20250828
- 20260107
- 1900-01-01
- 132
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式134号Q类份额
- YJ01250714Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250714Q_00112049_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年5号C款
- CSYLFB3M24005C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240603
- 20240611
- 20240612
- 20240925
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年5号C款
- CSYLFB3M24005C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24005C_00057003_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24005C_00057006_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年128号C款
- CSFB1Y24128C
- 02
- 0
- 9
- 03
- 2.5%-3.2%
- 2.5%-3.2%
- 20241112
- 20241119
- 20241120
- 20251211
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年128号C款
- CSFB1Y24128C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24128C_00083006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24128C_00083002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年34号D款
- CSFB1Y24034D
- 02
- 0
- 8
- 03
- 2.85%-3.65%
- 2.85%-3.65%
- 20240415
- 20240417
- 20240418
- 20250515
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年34号D款
- CSFB1Y24034D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24034D_00046070_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24034D_00046066_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年2号C款
- CSFB1Y25002C
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250123
- 20250205
- 20250206
- 20260226
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年2号C款
- CSFB1Y25002C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25002C_00102040_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25002C_00102033_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式79号A类份额
- YJ01250409A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250605
- 20250611
- 20250612
- 20260722
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式79号A类份额
- YJ01250409A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//YJ01250409A_00105031_0.pdf
- /boimc/fileDir/resource/file/dxlc//YJ01250409A_00105030_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略九个月2025年8号C款
- CSFB9M25008C
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250604
- 20250611
- 20250612
- 20260319
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年8号C款
- CSFB9M25008C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25008C_00105019_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25008C_00105012_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式58号固收类理财产品
- 9K24358C
- 02
- 0
- 4
- 03
- 2.82%-3.02%
- 2.82%-3.02%
- 20240529
- 20240604
- 20240605
- 20250701
- 1900-01-01
- 391
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式58号固收类理财产品
- 9K24358C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24358C_00056023_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24358C_00056019_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式250号A类份额
- YJ01250801A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250821
- 20250827
- 20250828
- 20261021
- 1900-01-01
- 419
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式250号A类份额
- YJ01250801A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250801A_00112049_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年24号B款
- CSFB2Y25024B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250609
- 20250616
- 20250617
- 20270624
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年24号B款
- CSFB2Y25024B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25024B_00105039_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25024B_00105032_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年52号E款
- CSFB6M24052E
- 02
- 0
- 8
- 03
- 2.3%-2.9%
- 2.3%-2.9%
- 20240826
- 20240902
- 20240903
- 20250320
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年52号E款
- CSFB6M24052E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24052E_00078025_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24052E_00078018_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式27号理财产品
- YJ01241230
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250418
- 20250423
- 20250424
- 20250807
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式27号理财产品
- YJ01241230
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241230_00102147_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年38号E款
- CSFB6M24038E
- 02
- 0
- 8
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20240708
- 20240715
- 20240716
- 20250123
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年38号E款
- CSFB6M24038E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24038E_00067009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24038E_00067002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年37号B款
- CSFB3Y25037B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250728
- 20250804
- 20250805
- 20280810
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年37号B款
- CSFB3Y25037B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25037B_00109147_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25037B_00109137_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式162号A类份额
- YJ01250678A
- 02
- 0
- 4
- 03
- 2.76%
- 2.76%
- 20250807
- 20250813
- 20250814
- 20260923
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式162号A类份额
- YJ01250678A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250678A_00113002_6.pdf
- 0
- 1
- 代销北银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250447B
- 02
- 0
- 4
- 03
- 2.60%-2.90%
- 2.60%-2.90%
- 20251023
- 20251029
- 20251030
- 20261103
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250447B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250447B_00115153_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250447B_00115149_6.pdf
- 0
- 1
- 代销徽银理财
- 渤银理财财收有略九个月2025年50号E款
- CSFB9M25050E
- 02
- 0
- 9
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20251015
- 20251022
- 20251023
- 20260806
- 1900-01-01
- 287
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年50号E款
- CSFB9M25050E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25050E_00116086_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25050E_00116080_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式81号A类份额
- YJ01250411A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250612
- 20250618
- 20250619
- 20260729
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式81号A类份额
- YJ01250411A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250411A_00108005_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年17号B款
- CSFB2Y25017B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250428
- 20250507
- 20250508
- 20270603
- 1900-01-01
- 756
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年17号B款
- CSFB2Y25017B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25017B_00102187_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25017B_00102174_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年82号F款
- CSFB1Y24082F
- 02
- 0
- 8
- 03
- 2.55%-3.25%
- 2.55%-3.25%
- 20240826
- 20240902
- 20240903
- 20250925
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年82号F款
- CSFB1Y24082F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24082F_00078028_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24082F_00078018_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年18号D款
- CSFB6M25018D
- 02
- 0
- 8
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250324
- 20250326
- 20250327
- 20251023
- 1900-01-01
- 210
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年18号D款
- CSFB6M25018D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25018D_00102110_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25018D_00102106_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式199号A类份额
- YJ01250854A
- 02
- 1
- 1
- 03
- 2.3500%~2.5500%
- 2.3500%~2.5500%
- 20251030
- 20251105
- 20251106
- 20261216
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式199号A类份额
- YJ01250854A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250854A_00116175_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略九个月2025年15号C款
- CSFB9M25015C
- 02
- 0
- 9
- 03
- 2.50%-3.00%
- 2.50%-3.00%
- 20250618
- 20250623
- 20250624
- 20260409
- 1900-01-01
- 289
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年15号C款
- CSFB9M25015C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25015C_00109017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25015C_00109014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年79号D款
- CSFB1Y25079D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250818
- 20250825
- 20250826
- 20260910
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年79号D款
- CSFB1Y25079D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25079D_00113045_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25079D_00113042_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年45号
- CSFB1Y25045
- 02
- 0
- 9
- 03
- 2.50%-2.90%
- 2.50%-2.90%
- 20250512
- 20250519
- 20250520
- 20260610
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年45号
- CSFB1Y25045
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25045_00101129_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25045_00101119_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年44号A款
- CSFB1Y25044A
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250516
- 20250521
- 20250522
- 20260617
- 1900-01-01
- 391
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年44号A款
- CSFB1Y25044A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25044A_00106006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25044A_00106002_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式60号理财产品
- YJ01250260
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250424
- 20250428
- 20250429
- 20260128
- 1900-01-01
- 274
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式60号理财产品
- YJ01250260
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250260_00101100_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年30号B款
- CSFB2Y25030B
- 02
- 0
- 9
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20250804
- 20250811
- 20250812
- 20270819
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年30号B款
- CSFB2Y25030B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25030B_00112009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25030B_00112002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2024年16号B款
- CSFB2Y24016B
- 02
- 0
- 9
- 03
- 2.40%-3.30%
- 2.40%-3.30%
- 20241225
- 20241231
- 20250102
- 20270113
- 1900-01-01
- 741
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2024年16号B款
- CSFB2Y24016B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24016B_00095018_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24016B_00095011_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式136号固收类理财产品
- 9A27136B
- 02
- 0
- 4
- 03
- 2.5%-2.7%
- 2.5%-2.7%
- 20241009
- 20241015
- 20241016
- 20250116
- 1900-01-01
- 92
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式136号固收类理财产品
- 9A27136B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27136B_00080022_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27136B_00080015_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2025年56号C款
- CSFB6M25056C
- 02
- 0
- 9
- 03
- 2.0%-2.4%
- 2.0%-2.4%
- 20250428
- 20250507
- 20250508
- 20251113
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年56号C款
- CSFB6M25056C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25056C_00102178_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25056C_00102174_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银“安盈”稳利固收1年封闭
- PNHY250251B
- 02
- 0
- 4
- 03
- 2.65%~3.05%
- 2.65%~3.05%
- 20250625
- 20250627
- 20250630
- 20260707
- 1900-01-01
- 372
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银“安盈”稳利固收1年封闭
- PNHY250251B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250251B_00108058_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250251B_00108052_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略二年2025年48号B款
- CSFB2Y25048B
- 02
- 1
- 1
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20251027
- 20251103
- 20251104
- 20271118
- 1900-01-01
- 744
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年48号B款
- CSFB2Y25048B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25048B_00116149_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25048B_00116142_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年122号G款
- CSFB1Y24122G
- 02
- 0
- 9
- 03
- 2.45%-3.15%
- 2.45%-3.15%
- 20241223
- 20241226
- 20241227
- 20260122
- 1900-01-01
- 391
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年122号G款
- CSFB1Y24122G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24122G_00093009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24122G_00093002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳添利季盈ESG201号(3个月最短持有期)日开固收类理财产...
- 9E50201C
- 02
- 1
- 0
- 03
- 1.55%-3.55%
- 1.55%-3.55%
- 20241128
- 20241204
- 20241205
- 20991230
- 1900-01-01
- 27418
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财稳添利季盈ESG201号(3个月最短持有期)日开固收类理财产品
- 9E50201C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9E50201C_00101107_0.pdf
- /boimc/fileDir/resource/file/dxlc//9E50201C_00101103_6.pdf
- 0
- 1
- 代销兴银理财
- 兴银理财丰利悦动稳享封闭式65号固收类理财产品
- 9A27965A
- 02
- 0
- 4
- 03
- 3%-3.2%
- 3%-3.2%
- 20240612
- 20240618
- 20240619
- 20240920
- 1900-01-01
- 93
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式65号固收类理财产品
- 9A27965A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27965A_00060016_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27965A_00060012_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式122号A类份额
- YJ01250585A
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20250730
- 20250806
- 20250807
- 20260211
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式122号A类份额
- YJ01250585A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250585A_00108141_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财丰利逸动6个月最短持有期日开1号增强型固收类理财产品
- 9K70601A
- 02
- 1
- 0
- 03
- 2.05%-4.05%
- 2.05%-4.05%
- 20221028
- 20221108
- 20221109
- 20991230
- 1900-01-01
- 28175
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利逸动6个月最短持有期日开1号增强型固收类理财产品
- 9K70601A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K70601A_00102245_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K70601A_00102241_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式64号L类份额
- YJ01250264L
- 02
- 0
- 4
- 03
- 2.90%
- 2.90%
- 20250227
- 20250305
- 20250306
- 20260415
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式64号L类份额
- YJ01250264L
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250264L_00101048_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财丰利悦动1个月最短持有期日开1号固收类理财产品
- 9K73101A
- 02
- 1
- 0
- 03
- 上证0-3年AAA国企科技创新公司债指数(950171.CSI)收益率×20%+
- 上证0-3年AAA国企科技创新公司债指数(950171.CSI)收益率×20%+
- 20240914
- 20240924
- 20240925
- 20991231
- 1900-01-01
- 27490
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利悦动1个月最短持有期日开1号固收类理财产品
- 9K73101A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K73101A_00109100_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K73101A_00109096_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2024年31号C款-渤银理财固收封闭理财
- CSFB1Y24031C
- 02
- 0
- 8
- 03
- 2.95%-3.75%
- 2.95%-3.75%
- 20240311
- 20240313
- 20240314
- 20250408
- 1900-01-01
- 390
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年31号C款-渤银理财固收封闭理财
- CSFB1Y24031C
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24031C_00042017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24031C_00042013_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年6号A款-渤银理财固收封闭理财
- CSFB1Y24006A
- 02
- 0
- 8
- 03
- 3.35%-3.95%
- 3.35%-3.95%
- 20240110
- 20240115
- 20240116
- 20250206
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年6号A款-渤银理财固收封闭理财
- CSFB1Y24006A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24006A_5_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24006A_7_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年26号B款
- CSFB6M24026B
- 02
- 0
- 8
- 03
- 2.95%-3.55%
- 2.95%-3.55%
- 20240527
- 20240603
- 20240604
- 20241219
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年26号B款
- CSFB6M24026B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24026B_00056011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24026B_00056007_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年327期固收类理财产品
- 9N24327C
- 02
- 0
- 4
- 03
- 2.8%
- 2.8%
- 20240905
- 20240912
- 20240913
- 20261028
- 1900-01-01
- 775
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年327期固收类理财产品
- 9N24327C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24327C_00078049_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24327C_00078051_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略三个月2024年43号C款
- CSYLFB3M24043C
- 02
- 0
- 8
- 03
- 2.2%-2.8%
- 2.2%-2.8%
- 20240812
- 20240819
- 20240820
- 20241128
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年43号C款
- CSYLFB3M24043C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24043C_00077006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24043C_00077002_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年79号C款
- CSFB6M25079C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250903
- 20250910
- 20250911
- 20260319
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年79号C款
- CSFB6M25079C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25079C_00113077_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25079C_00113073_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式112号理财产品
- YJ01250575
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250529
- 20250604
- 20250605
- 20250917
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式112号理财产品
- YJ01250575
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250575_00105007_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略(科技创新)六个月1号C款(财富节限定)
- CSFBKJ6M001C
- 02
- 0
- 9
- 03
- 2.10%-2.70%
- 2.10%-2.70%
- 20250630
- 20250707
- 20250708
- 20260129
- 1900-01-01
- 205
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略(科技创新)六个月1号C款(财富节限定)
- CSFBKJ6M001C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFBKJ6M001C_00108069_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFBKJ6M001C_00108065_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年37号C款
- CSYLFB3M24037C
- 02
- 0
- 8
- 03
- 2.55%-3.15%
- 2.55%-3.15%
- 20240612
- 20240617
- 20240618
- 20240924
- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年37号C款
- CSYLFB3M24037C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24037C_00060020_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24037C_00060017_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年17号D款
- CSFB6M24017D
- 02
- 0
- 8
- 03
- 2.8%-3.4%
- 2.8%-3.4%
- 20240318
- 20240325
- 20240326
- 20240926
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年17号D款
- CSFB6M24017D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24017D_00044016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24017D_00044012_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年93号F款
- CSFB1Y24093F
- 02
- 0
- 8
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20240902
- 20240909
- 20240910
- 20250925
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年93号F款
- CSFB1Y24093F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24093F_00078045_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24093F_00078035_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250390B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250918
- 20250923
- 20250924
- 20260929
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250390B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250390B_00115027_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250390B_00115023_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年2024年121号A款
- CSFB1Y24121A
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20241202
- 20241209
- 20241210
- 20260108
- 1900-01-01
- 394
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年121号A款
- CSFB1Y24121A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24121A_00086014_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24121A_00086007_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年12期固收类理财产品
- 9N24012G
- 02
- 0
- 4
- 03
- 2.4%-2.8%
- 2.4%-2.8%
- 20240904
- 20240911
- 20240912
- 20250228
- 1900-01-01
- 169
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年12期固收类理财产品
- 9N24012G
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24012G_00079027_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24012G_00079023_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年69号F款(财富节限定)
- CSFB1Y25069F
- 02
- 0
- 9
- 03
- 2.70%-3.00%
- 2.70%-3.00%
- 20250630
- 20250707
- 20250708
- 20260730
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年69号F款(财富节限定)
- CSFB1Y25069F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25069F_00108072_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25069F_00108065_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式174号A类份额
- YJ01250829A
- 02
- 1
- 1
- 03
- 2.1000%~2.3000%
- 2.1000%~2.3000%
- 20251030
- 20251105
- 20251106
- 20260520
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式174号A类份额
- YJ01250829A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250829A_00116175_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略九个月2025年35号E款
- CSFB9M25035E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250910
- 20250917
- 20250918
- 20260625
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年35号E款
- CSFB9M25035E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25035E_00115009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25035E_00115002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式128号A类份额
- YJ01250591A
- 02
- 0
- 4
- 03
- 2.20%
- 2.20%
- 20250918
- 20250924
- 20250925
- 20260408
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式128号A类份额
- YJ01250591A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250591A_00115019_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年41号B款
- CSFB3Y25041B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250811
- 20250818
- 20250819
- 20280824
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年41号B款
- CSFB3Y25041B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25041B_00113027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25041B_00113017_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年70号E款
- CSFB6M24070E
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20241021
- 20241028
- 20241029
- 20250514
- 1900-01-01
- 197
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年70号E款
- CSFB6M24070E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24070E_00081030_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24070E_00081027_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年55号C款
- CSFB1Y24055C
- 02
- 0
- 8
- 03
- 3.15%-3.85%
- 3.15%-3.85%
- 20240624
- 20240701
- 20240702
- 20250731
- 1900-01-01
- 394
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年55号C款
- CSFB1Y24055C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24055C_00064006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24055C_00064002_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年13号D款
- CSFB9M25013D
- 02
- 0
- 9
- 03
- 2.50%-3.00%
- 2.50%-3.00%
- 20250716
- 20250723
- 20250724
- 20260514
- 1900-01-01
- 294
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年13号D款
- CSFB9M25013D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25013D_00109091_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25013D_00109084_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年37号E款
- CSFB6M24037E
- 02
- 0
- 8
- 03
- 2.65%-3.35%
- 2.65%-3.35%
- 20240617
- 20240624
- 20240625
- 20250109
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年37号E款
- CSFB6M24037E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24037E_00062011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24037E_00062007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列易淘金5号H类份额
- TG01231019H
- 01
- 1
- 0
- 03
- 100.00%
- 100.00%
- 20240821
- 20240821
- 20240822
- 20991231
- 1900-01-01
- 27524
- 01,02,03,04
- 货币净值
- 01,02
- 春系列易淘金5号H类份额
- TG01231019H
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01231019H_00106027_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式120号Z类份额
- YJ01250583Z
- 02
- 0
- 4
- 03
- 2.40%
- 2.40%
- 20250717
- 20250723
- 20250724
- 20251119
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式120号Z类份额
- YJ01250583Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250583Z_00108127_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年35号B款
- CSFB3Y25035B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20251009
- 20251013
- 20251014
- 20281019
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年35号B款
- CSFB3Y25035B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25035B_00115074_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25035B_00115070_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年18号C款(财富节限定)
- CSFB2Y25018C
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250630
- 20250707
- 20250708
- 20270715
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年18号C款(财富节限定)
- CSFB2Y25018C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25018C_00108075_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25018C_00108065_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略九个月2025年1号A款
- CSFB9M25001A
- 02
- 0
- 9
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20250421
- 20250428
- 20250429
- 20260205
- 1900-01-01
- 282
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年1号A款
- CSFB9M25001A
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25001A_00102158_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25001A_00102151_6.pdf
- 0
- 1
- 代销渤银理财
- 财收25号D款一年封闭
- CSFB1Y24025D
- 02
- 0
- 8
- 03
- 3.1%-3.9%
- 3.1%-3.9%
- 20240221
- 20240229
- 20240301
- 20250320
- 1900-01-01
- 384
- 01,02,03,04
- 封闭净值
- 01,02
- 财收25号D款一年封闭
- CSFB1Y24025D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24025D_00033031_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24025D_00033028_6.pdf
- 0
- 1
- 代销渤银理财
- 恒利·鸿运日开2号A
- 2401HM002A
- 01
- 1
- 0
- 03
- 2.00%~3.00%
- 2.00%~3.00%
- 20240926
- 20241008
- 20241009
- 20991231
- 1900-01-01
- 27476
- 01,02,03,04
- 开放净值
- 01,02
- 恒利·鸿运日开2号A
- 2401HM002A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 1
- 1
- 代销中邮理财
- 渤银理财财收有略六个月2025年83号C款
- CSFB6M25083C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250917
- 20250924
- 20250925
- 20260401
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年83号C款
- CSFB6M25083C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25083C_00116032_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25083C_00116028_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年4号D款
- CSFB1Y25004D
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250120
- 20250122
- 20250123
- 20260212
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年4号D款
- CSFB1Y25004D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25004D_00102027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25004D_00102023_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式64号固收类理财产品
- 9A27964B
- 02
- 0
- 4
- 03
- 3%-3.2%
- 3%-3.2%
- 20240515
- 20240521
- 20240522
- 20240821
- 1900-01-01
- 91
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式64号固收类理财产品
- 9A27964B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 0
- 1
- 代销兴银理财
- 财收有略六个月封闭2024年3号A款
- CSFB6M24003A
- 02
- 0
- 8
- 03
- 3.15%-3.45%
- 3.15%-3.45%
- 20240115
- 20240122
- 20240123
- 20240725
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月封闭2024年3号A款
- CSFB6M24003A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24003A_2_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24003A_6_6.pdf
- 0
- 1
- 代销渤银理财
- 财收20号B款三个月封闭
- CSYLFB3M24020B
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240226
- 20240304
- 20240305
- 20240611
- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
- 01,02
- 财收20号B款三个月封闭
- CSYLFB3M24020B
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24020B_00036008_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24020B_00035006_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式254号A类份额
- YJ01250805A
- 02
- 0
- 4
- 03
- 2.60%
- 2.60%
- 20250918
- 20250924
- 20250925
- 20261202
- 1900-01-01
- 433
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式254号A类份额
- YJ01250805A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250805A_00115019_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年封闭2024年8号A款
- CSFB1Y24008A
- 02
- 0
- 8
- 03
- 3.3%-3.95%
- 3.3%-3.95%
- 20240117
- 20240122
- 20240123
- 20250211
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年封闭2024年8号A款
- CSFB1Y24008A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24008A_2_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24008A_4_6.pdf
- 0
- 1
- 代销渤银理财
- “安盈”稳利4个月固定收益类理财产品
- PNHY250400A
- 02
- 0
- 4
- 03
- 2.08%-2.48%
- 2.08%-2.48%
- 20250910
- 20250916
- 20250917
- 20260120
- 1900-01-01
- 125
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利4个月固定收益类理财产品
- PNHY250400A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250400A_00115015_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250400A_00115010_6.pdf
- 0
- 1
- 代销徽银理财
- 北银理财京华远见春系列卓远固收封闭式103号理财产品
- YJ01250509
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250515
- 20250521
- 20250522
- 20250903
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式103号理财产品
- YJ01250509
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250509_00105002_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财丰利合享封闭式67号固收类理财产品
- 9K24367C
- 02
- 0
- 4
- 03
- 2.68%-2.88%
- 2.68%-2.88%
- 20240722
- 20240730
- 20240731
- 20251011
- 1900-01-01
- 437
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式67号固收类理财产品
- 9K24367C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24367C_00072006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24367C_00072002_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略三年2025年38号B款
- CSFB3Y25038B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250915
- 20250922
- 20250923
- 20280927
- 1900-01-01
- 1100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年38号B款
- CSFB3Y25038B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25038B_00116027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25038B_00116015_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年103号D款
- CSFB1Y24103D
- 02
- 0
- 8
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20240918
- 20240925
- 20240926
- 20251016
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年103号D款
- CSFB1Y24103D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24103D_00079057_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24103D_00079047_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列天天金7号理财产品B类份额
- TG01240107B
- 01
- 1
- 0
- 03
- 0
- 0
- 20240506
- 20240506
- 20240507
- 20991231
- 1900-01-01
- 27631
- 01,02,03,04
- 开放净值
- 01,02
- 北银理财京华远见春系列天天金7号理财产品B类份额
- TG01240107B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240107B_00069007_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年20号D款
- CSFB6M24020D
- 02
- 0
- 8
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20240417
- 20240424
- 20240425
- 20241024
- 1900-01-01
- 182
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年20号D款
- CSFB6M24020D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24020D_00047060_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24020D_00047056_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式81号固收类理财产品
- 9K24381C
- 02
- 0
- 4
- 03
- 2.6%-2.8%
- 2.6%-2.8%
- 20240807
- 20240813
- 20240814
- 20251014
- 1900-01-01
- 426
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式81号固收类理财产品
- 9K24381C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24381C_00076026_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24381C_00076022_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式44号A类份额
- YJ01241207A
- 02
- 0
- 8
- 03
- 2.45%
- 2.45%
- 20250116
- 20250123
- 20250124
- 20250806
- 1900-01-01
- 194
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式44号A类份额
- YJ01241207A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241207A_00102002_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年46号B款
- CSFB2Y25046B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20251009
- 20251013
- 20251014
- 20271028
- 1900-01-01
- 744
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年46号B款
- CSFB2Y25046B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25046B_00115086_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25046B_00115070_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式56号理财产品
- YJ01250256
- 02
- 0
- 4
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250418
- 20250423
- 20250424
- 20251106
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式56号理财产品
- YJ01250256
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250256_00102147_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年64号E款
- CSFB6M24064E
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20241010
- 20241015
- 20241016
- 20250422
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年64号E款
- CSFB6M24064E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24064E_00081011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24064E_00081007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列全球配置90天持有期1号A类份额
- YJ01240721A
- 02
- 1
- 0
- 03
- 2.8000%~3.4000%
- 2.8000%~3.4000%
- 20240809
- 20240813
- 20240814
- 20991231
- 1900-01-01
- 27532
- 01,02,03,04
- 开放净值
- 01,02
- 春系列全球配置90天持有期1号A类份额
- YJ01240721A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240721A_00108004_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年106号D款
- CSFB1Y24106D
- 02
- 0
- 9
- 03
- 2.4%-3.2%
- 2.4%-3.2%
- 20241125
- 20241202
- 20241203
- 20251225
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年106号D款
- CSFB1Y24106D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24106D_00085006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24106D_00085002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式105号Z类份额
- YJ01250511Z
- 02
- 0
- 4
- 03
- 2.6000%~2.8000%
- 2.6000%~2.8000%
- 20250627
- 20250702
- 20250703
- 20260107
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式105号Z类份额
- YJ01250511Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250511Z_00108061_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财丰利合享封闭式61号固收类理财产品
- 9K24361A
- 02
- 0
- 4
- 03
- 3%-3.2%
- 3%-3.2%
- 20240619
- 20240625
- 20240626
- 20250731
- 1900-01-01
- 400
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式61号固收类理财产品
- 9K24361A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24361A_00063006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24361A_00063002_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2024年28号C款
- CSFB1Y24028C
- 02
- 0
- 8
- 03
- 2.8%-3.6%
- 2.8%-3.6%
- 20240513
- 20240520
- 20240521
- 20250610
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年28号C款
- CSFB1Y24028C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24028C_00050026_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24028C_00054002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年18号C款
- CSFB1Y24018C
- 02
- 0
- 8
- 03
- 2.95%-3.85%
- 2.95%-3.85%
- 20240325
- 20240327
- 20240328
- 20250417
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年18号C款
- CSFB1Y24018C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24018C_00045023_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24018C_00045019_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年21号D款
- CSFB9M25021D
- 02
- 0
- 9
- 03
- 2.50%-3.00%
- 2.50%-3.00%
- 20250702
- 20250709
- 20250710
- 20260423
- 1900-01-01
- 287
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年21号D款
- CSFB9M25021D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25021D_00108090_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25021D_00108086_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年67号F款(财富节限定)
- CSFB1Y25067F
- 02
- 0
- 9
- 03
- 2.70%-3.00%
- 2.70%-3.00%
- 20250707
- 20250714
- 20250715
- 20260730
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年67号F款(财富节限定)
- CSFB1Y25067F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25067F_00108095_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25067F_00108091_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年35号B款
- CSFB1Y24035B
- 02
- 0
- 8
- 03
- 2.95%-3.85%
- 2.95%-3.85%
- 20240327
- 20240401
- 20240402
- 20250424
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年35号B款
- CSFB1Y24035B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24035B_00045028_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24035B_00045024_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式133号Q类份额
- YJ01250713Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250814
- 20250820
- 20250821
- 20251217
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式133号Q类份额
- YJ01250713Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250713Q_00112034_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利恒盈封闭式2024年573期固收类理财产品
- 9N24573D
- 02
- 0
- 4
- 03
- 2.6%-2.8%
- 2.6%-2.8%
- 20241029
- 20241105
- 20241106
- 20251224
- 1900-01-01
- 413
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年573期固收类理财产品
- 9N24573D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24573D_00081042_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24573D_00081038_6.pdf
- 0
- 1
- 代销兴银理财
- 渤银理财理财有术系列晨夕盈13号固收日开理财产品B
- LCYSRK13B
- 02
- 1
- 0
- 03
- 1.50%-3.50%
- 1.50%-3.50%
- 20250306
- 20250306
- 20250307
- 99991231
- 1900-01-01
- 2912742
- 01,02,03,04
- 开放净值
- 01,02
- 渤银理财理财有术系列晨夕盈13号固收日开理财产品B
- LCYSRK13B
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYSRK13B_00109062_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYSRK13B_00109059_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年80号B款
- CSFB6M24080B
- 02
- 0
- 8
- 03
- 2.30%-2.90%
- 2.30%-2.90%
- 20241225
- 20241231
- 20250102
- 20250724
- 1900-01-01
- 203
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年80号B款
- CSFB6M24080B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24080B_00095015_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24080B_00095011_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年20号A款
- CSFB3Y25020A
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250324
- 20250326
- 20250327
- 20280413
- 1900-01-01
- 1113
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年20号A款
- CSFB3Y25020A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25020A_00102116_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25020A_00102106_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式66号固收类理财产品
- 9A27966B
- 02
- 0
- 4
- 03
- 2.9%-3.1%
- 2.9%-3.1%
- 20240710
- 20240716
- 20240717
- 20241021
- 1900-01-01
- 96
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式66号固收类理财产品
- 9A27966B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27966B_00067020_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27966B_00067016_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略二年2025年33号B款
- CSFB2Y25033B
- 02
- 0
- 9
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20250818
- 20250825
- 20250826
- 20270902
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年33号B款
- CSFB2Y25033B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25033B_00113049_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25033B_00113042_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年19号D款
- CSFB6M24019D
- 02
- 0
- 8
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20240401
- 20240408
- 20240409
- 20241010
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年19号D款
- CSFB6M24019D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24019D_00046017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24019D_00046013_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年43号B款
- CSFB3Y25043B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20251013
- 20251020
- 20251021
- 20281026
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年43号B款
- CSFB3Y25043B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25043B_00116076_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25043B_00116066_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年80号C款
- CSFB1Y24080C
- 02
- 0
- 8
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20240819
- 20240826
- 20240827
- 20250918
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年80号C款
- CSFB1Y24080C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24080C_00077027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24080C_00077018_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式28号A类份额
- YJ01241231A
- 02
- 0
- 8
- 03
- 2.55%
- 2.55%
- 20250428
- 20250506
- 20250507
- 20250820
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式28号A类份额
- YJ01241231A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241231A_00101108_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年136号B款
- CSFB1Y24136B
- 02
- 0
- 9
- 03
- 2.45%-3.15%
- 2.45%-3.15%
- 20241226
- 20241231
- 20250102
- 20260129
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年136号B款
- CSFB1Y24136B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24136B_00095023_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24136B_00095019_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年17号A款
- CSFB6M25017A
- 02
- 0
- 8
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20250217
- 20250224
- 20250225
- 20250904
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年17号A款
- CSFB6M25017A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25017A_00101035_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25017A_00101031_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式114号A类份额
- YJ01250577A
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250612
- 20250618
- 20250619
- 20251015
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式114号A类份额
- YJ01250577A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250577A_00108005_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年29号E款
- CSFB6M24029E
- 02
- 0
- 8
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20240611
- 20240617
- 20240618
- 20241224
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年29号E款
- CSFB6M24029E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24029E_00060006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24029E_00060002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年7号D款
- CSFB1Y25007D
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250205
- 20250212
- 20250213
- 20260305
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年7号D款
- CSFB1Y25007D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25007D_00101013_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25007D_00101006_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式118号Z类份额
- YJ01250581Z
- 02
- 0
- 4
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250703
- 20250709
- 20250710
- 20251105
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式118号Z类份额
- YJ01250581Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250581Z_00109069_6.pdf
- 0
- 1
- 代销北银理财
- 春系列诚享30天持有期12号B类份额
- YJ01240972B
- 02
- 1
- 0
- 03
- 1.7000%~2.7000%
- 1.7000%~2.7000%
- 20250220
- 20250220
- 20250221
- 20991231
- 1900-01-01
- 27341
- 01,02,03,04
- 开放净值
- 01,02
- 春系列诚享30天持有期12号B类份额
- YJ01240972B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240972B_00102118_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年22号B款
- CSFB3Y25022B
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250519
- 20250526
- 20250527
- 20280608
- 1900-01-01
- 1108
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年22号B款
- CSFB3Y25022B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25022B_00106021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25022B_00106013_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年39号F款
- CSFB6M24039F
- 02
- 0
- 8
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20240715
- 20240722
- 20240723
- 20250212
- 1900-01-01
- 204
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年39号F款
- CSFB6M24039F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24039F_00068010_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24039F_00068006_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式63号固收类理财产品
- 9K24363A
- 02
- 0
- 4
- 03
- 2.95%-3.15%
- 2.95%-3.15%
- 20240703
- 20240709
- 20240710
- 20250814
- 1900-01-01
- 400
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式63号固收类理财产品
- 9K24363A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24363A_00066006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24363A_00066002_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年76号D款
- CSFB1Y25076D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250721
- 20250728
- 20250729
- 20260813
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年76号D款
- CSFB1Y25076D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25076D_00109109_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25076D_00109105_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式188号A类份额
- YJ01250843A
- 02
- 0
- 4
- 03
- 2.3500%~2.5500%
- 2.3500%~2.5500%
- 20251011
- 20251015
- 20251016
- 20261125
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式188号A类份额
- YJ01250843A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250843A_00115114_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年35号C款
- CSYLFB3M24035C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240624
- 20240701
- 20240702
- 20241024
- 1900-01-01
- 114
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年35号C款
- CSYLFB3M24035C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24035C_00064018_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24035C_00064014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年107号C款
- CSFB1Y25107C
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20251020
- 20251027
- 20251028
- 20261112
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年107号C款
- CSFB1Y25107C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25107C_00116096_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25107C_00116092_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年91号F款
- CSFB1Y24091F
- 02
- 0
- 8
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20240909
- 20240918
- 20240919
- 20251016
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年91号F款
- CSFB1Y24091F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24091F_00078053_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24091F_00078055_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年23号A款
- CSFB3Y25023A
- 02
- 0
- 9
- 03
- 2.65%-3.35%
- 2.65%-3.35%
- 20250421
- 20250428
- 20250429
- 20280525
- 1900-01-01
- 1122
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年23号A款
- CSFB3Y25023A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25023A_00102164_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25023A_00102151_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式2年
- PNHY250434E
- 02
- 0
- 4
- 03
- 2.70%-3.10%
- 2.70%-3.10%
- 20251022
- 20251028
- 20251029
- 20271103
- 1900-01-01
- 735
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式2年
- PNHY250434E
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250434E_00116127_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250434E_00116123_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年2024年71号D款
- CSFB1Y24071D
- 02
- 0
- 8
- 03
- 2.7%-3.4%
- 2.7%-3.4%
- 20240805
- 20240812
- 20240813
- 20250904
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年71号D款
- CSFB1Y24071D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24071D_00076012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24071D_00076002_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳健最低持有7天理财产品4号B
- PNHY250117B
- 02
- 1
- 0
- 03
- 人民币7天通知存款基准利率
- 人民币7天通知存款基准利率
- 20250616
- 20250616
- 20250617
- 20991231
- 1900-01-01
- 27225
- 01,02,03,04
- 开放净值
- 01,02
- 徽银理财安盈稳健最低持有7天理财产品4号B
- PNHY250117B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250117B_00109126_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250117B_00108030_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式136号Q类份额
- YJ01250716Q
- 02
- 0
- 4
- 03
- 2.20%
- 2.20%
- 20250911
- 20250917
- 20250918
- 20260128
- 1900-01-01
- 132
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式136号Q类份额
- YJ01250716Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250716Q_00116002_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年114号D款
- CSFB1Y24114D
- 02
- 0
- 9
- 03
- 2.5%-3.2%
- 2.5%-3.2%
- 20241021
- 20241028
- 20241029
- 20251120
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年114号D款
- CSFB1Y24114D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24114D_00081026_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24114D_00081022_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式90号A类份额
- YJ01250420A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250724
- 20250729
- 20250730
- 20260909
- 1900-01-01
- 406
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式90号A类份额
- YJ01250420A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250420A_00109128_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年18号B款
- CSFB6M24018B
- 02
- 0
- 8
- 03
- 2.8%-3.4%
- 2.8%-3.4%
- 20240325
- 20240401
- 20240402
- 20241010
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年18号B款
- CSFB6M24018B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24018B_00045011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24018B_00045007_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年318期固收类理财产品
- 9N24318A
- 02
- 0
- 4
- 03
- 2.95%
- 2.95%
- 20240603
- 20240612
- 20240613
- 20250710
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年318期固收类理财产品
- 9N24318A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24318A_00058004_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24318A_00058002_6.pdf
- 0
- 1
- 代销兴银理财
- 北银理财京华远见春系列卓远固收封闭式30号理财产品
- YJ01241233
- 02
- 0
- 8
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250424
- 20250428
- 20250429
- 20251028
- 1900-01-01
- 182
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式30号理财产品
- YJ01241233
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241233_00101100_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略九个月2025年4号A款
- CSFB9M25004A
- 02
- 0
- 9
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20250512
- 20250519
- 20250520
- 20260304
- 1900-01-01
- 288
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年4号A款
- CSFB9M25004A
- 15000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25004A_00101126_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25004A_00101119_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年80号C款
- CSFB6M25080C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250910
- 20250917
- 20250918
- 20260325
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年80号C款
- CSFB6M25080C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25080C_00115006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25080C_00115002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年94号B款
- CSFB6M25094B
- 02
- 1
- 1
- 03
- 2.2%-2.5%
- 2.2%-2.5%
- 20251029
- 20251105
- 20251106
- 20260514
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年94号B款
- CSFB6M25094B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25094B_00116170_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25094B_00116166_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式252号A类份额
- YJ01250803A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250904
- 20250910
- 20250911
- 20261118
- 1900-01-01
- 433
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式252号A类份额
- YJ01250803A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250803A_00112116_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2025年93号C款
- CSFB6M25093C
- 02
- 0
- 9
- 03
- 2.2%-2.5%
- 2.2%-2.5%
- 20251022
- 20251029
- 20251030
- 20260514
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年93号C款
- CSFB6M25093C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25093C_00116119_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25093C_00116115_6.pdf
- 0
- 1
- 代销渤银理财
- 灵活·鸿运最短持有14天5号A
- 2401MC005A
- 02
- 1
- 0
- 03
- 2.00%~3.40%
- 2.00%~3.40%
- 20240827
- 20240902
- 20240903
- 20991231
- 1900-01-01
- 27512
- 01,02,03,04
- 开放净值
- 01,02
- 灵活·鸿运最短持有14天5号A
- 2401MC005A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 1
- 1
- 代销中邮理财
- 财收有略三个月2024年31号B款
- CSYLFB3M24031B
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20240520
- 20240527
- 20240528
- 20240829
- 1900-01-01
- 93
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年31号B款
- CSYLFB3M24031B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24031B_00053006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24031B_00055013_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2024年299期固收类理财产品
- 9A24299C
- 01
- 0
- 4
- 03
- 2.25%-2.55%
- 2.25%-2.55%
- 20240724
- 20240730
- 20240731
- 20250122
- 1900-01-01
- 175
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年299期固收类理财产品
- 9A24299C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24299C_00073006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24299C_00073002_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2025年35号F款
- CSFB6M25035F
- 02
- 0
- 9
- 03
- 2.00%-2.40%
- 2.00%-2.40%
- 20250604
- 20250609
- 20250610
- 20251218
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年35号F款
- CSFB6M25035F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25035F_00105016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25035F_00105012_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年17号A款
- CSFB3Y25017A
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250317
- 20250324
- 20250325
- 20280413
- 1900-01-01
- 1115
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年17号A款
- CSFB3Y25017A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25017A_00101069_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25017A_00101059_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年120号G款
- CSFB1Y24120G
- 02
- 0
- 9
- 03
- 2.45%-3.15%
- 2.45%-3.15%
- 20241104
- 20241111
- 20241112
- 20251204
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年120号G款
- CSFB1Y24120G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24120G_00080084_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24120G_00080077_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年65号D款
- CSFB1Y24065D
- 02
- 0
- 8
- 03
- 2.95%-3.65%
- 2.95%-3.65%
- 20240701
- 20240708
- 20240709
- 20250730
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年65号D款
- CSFB1Y24065D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24065D_00064037_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24065D_00064032_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式98号A类份额
- YJ01250524A
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250612
- 20250618
- 20250619
- 20260128
- 1900-01-01
- 223
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式98号A类份额
- YJ01250524A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250524A_00108005_6.pdf
- 0
- 1
- 代销北银理财
- 春系列固收封闭式205号M类份额
- YJ01240728M
- 02
- 0
- 8
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20240905
- 20240911
- 20240912
- 20250108
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式205号M类份额
- YJ01240728M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240728M_00079028_6.pdf
- 0
- 1
- 代销北银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250404B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250930
- 20251009
- 20251010
- 20261014
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250404B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250404B_00116065_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250404B_00116058_6.pdf
- 0
- 1
- 代销徽银理财
- 北银理财京华远见春系列卓远固收封闭式91号理财产品
- YJ01250517
- 02
- 0
- 4
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250507
- 20250514
- 20250515
- 20251119
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式91号理财产品
- YJ01250517
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250517_00101114_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式126号Q类份额
- YJ01250589Q
- 02
- 0
- 4
- 03
- 2.35%
- 2.35%
- 20250904
- 20250910
- 20250911
- 20260325
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式126号Q类份额
- YJ01250589Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250589Q_00112116_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年69号B款
- CSFB1Y24069B
- 02
- 0
- 8
- 03
- 2.8%-3.5%
- 2.8%-3.5%
- 20240722
- 20240724
- 20240725
- 20250814
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年69号B款
- CSFB1Y24069B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24069B_00071007_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24069B_00071002_6.pdf
- 0
- 1
- 代销渤银理财
- 喜盈90天周期开放固收8号-渤银理财理财有术系列C
- LZKGG00008C
- 02
- 1
- 0
- 03
- 1.50%-3.25%
- 1.50%-3.25%
- 20220607
- 20220608
- 20240904
- 20991231
- 1900-01-01
- 27511
- 01,02,03,04
- 客户周期净值
- 01,02
- 喜盈90天周期开放固收8号-渤银理财理财有术系列C
- LZKGG00008C
- 10000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LZKGG00008C_00102014_0.pdf
- /boimc/fileDir/resource/file/dxlc//LZKGG00008C_00102010_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年4号A款
- CSFB6M25004A
- 02
- 0
- 8
- 03
- 2.30%-2.80%
- 2.30%-2.80%
- 20250113
- 20250120
- 20250121
- 20250731
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年4号A款
- CSFB6M25004A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25004A_00099009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25004A_00099002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年48号C款
- CSYLFB3M24048C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240826
- 20240902
- 20240903
- 20241212
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年48号C款
- CSYLFB3M24048C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24048C_00078022_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24048C_00078018_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年61号C款
- CSFB1Y24061C
- 02
- 0
- 8
- 03
- 2.8%-3.5%
- 2.8%-3.5%
- 20240715
- 20240722
- 20240723
- 20250813
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年61号C款
- CSFB1Y24061C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24061C_00068013_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24061C_00068006_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年45号F款
- CSFB6M24045F
- 02
- 0
- 8
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20240801
- 20240805
- 20240806
- 20250220
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年45号F款
- CSFB6M24045F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24045F_00075006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24045F_00075002_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈14天最短持有期固收1号理财产品D
- LCYS14CY001D
- 02
- 1
- 0
- 03
- 1.55%-3.05%
- 1.55%-3.05%
- 20240304
- 20240305
- 20240904
- 20991231
- 1900-01-01
- 27511
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈14天最短持有期固收1号理财产品D
- LCYS14CY001D
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS14CY001D_00081032_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS14CY001D_00080044_6.pdf
- 0
- 1
- 代销渤银理财
- 财收29号B款一年封闭
- CSFB1Y24029B
- 02
- 0
- 8
- 03
- 3.0%-3.8%
- 3.0%-3.8%
- 20240229
- 20240304
- 20240305
- 20250326
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收29号B款一年封闭
- CSFB1Y24029B
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24029B_00038012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24029B_00038009_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列易淘金8号A类份额
- TG01231022A
- 01
- 1
- 0
- 03
- 100.00%
- 100.00%
- 20240315
- 20240317
- 20240318
- 20991231
- 1900-01-01
- 27681
- 01,02,03,04
- 货币净值
- 01,02
- 北银理财京华远见春系列易淘金8号A类份额
- TG01231022A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01231022A_00109012_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略六个月2025年69号F款(财富节限定)
- CSFB6M25069F
- 02
- 0
- 9
- 03
- 2.45%-2.65%
- 2.45%-2.65%
- 20250716
- 20250723
- 20250724
- 20260129
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年69号F款(财富节限定)
- CSFB6M25069F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25069F_00109088_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25069F_00109084_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250326B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250807
- 20250813
- 20250814
- 20260818
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250326B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250326B_00113011_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250326B_00113007_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式131号Q类份额
- YJ01250711Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250730
- 20250806
- 20250807
- 20251203
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式131号Q类份额
- YJ01250711Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250711Q_00108141_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2025年45号C款
- CSFB6M25045C
- 02
- 0
- 9
- 03
- 2.00%-2.40%
- 2.00%-2.40%
- 20250528
- 20250604
- 20250605
- 20251211
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年45号C款
- CSFB6M25045C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25045C_00106049_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25045C_00106044_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年32号C款(财富节限定)
- CSFB3Y25032C
- 02
- 0
- 9
- 03
- 2.85%-3.45%
- 2.85%-3.45%
- 20250714
- 20250721
- 20250722
- 20280727
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年32号C款(财富节限定)
- CSFB3Y25032C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25032C_00108126_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25032C_00108116_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年32号C款(财富节限定)
- CSFB2Y25032C
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250714
- 20250721
- 20250722
- 20270729
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年32号C款(财富节限定)
- CSFB2Y25032C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25032C_00108123_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25032C_00108116_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年95号D款
- CSFB1Y25095D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250901
- 20250908
- 20250909
- 20260923
- 1900-01-01
- 379
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年95号D款
- CSFB1Y25095D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25095D_00112109_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25095D_00112105_6.pdf
- 0
- 1
- 代销渤银理财
- 财收4号D款一年封闭
- CSFB1Y24004D
- 02
- 0
- 8
- 03
- 2.95%-3.75%
- 2.95%-3.75%
- 20240313
- 20240318
- 20240319
- 20250410
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收4号D款一年封闭
- CSFB1Y24004D
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24004D_00044005_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24004D_00044002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享1个月最短持有期日开2号固收类理财产品
- 9A28102B
- 02
- 1
- 0
- 03
- 2%-2.9%
- 2%-2.9%
- 20240417
- 20240423
- 20240424
- 20991230
- 1900-01-01
- 27643
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财丰利悦动稳享1个月最短持有期日开2号固收类理财产品
- 9A28102B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A28102B_00112129_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A28102B_00112125_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式71号A类份额
- YJ01250401A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250410
- 20250416
- 20250417
- 20260527
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式71号A类份额
- YJ01250401A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250401A_00102131_6.pdf
- 0
- 1
- 代销北银理财
- 春系列天天金18号B类份额
- TG01240362B
- 01
- 1
- 0
- 03
- 0
- 0
- 20241107
- 20241107
- 20241108
- 20991231
- 1900-01-01
- 27446
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金18号B类份额
- TG01240362B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240362B_00102126_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式87号Z类份额
- YJ01250417Z
- 02
- 0
- 4
- 03
- 2.6500%~2.8500%
- 2.6500%~2.8500%
- 20250710
- 20250716
- 20250717
- 20260826
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式87号Z类份额
- YJ01250417Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250417Z_00109080_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式127号Q类份额
- YJ01250590Q
- 02
- 0
- 4
- 03
- 2.35%
- 2.35%
- 20250911
- 20250917
- 20250918
- 20260401
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式127号Q类份额
- YJ01250590Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250590Q_00116002_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年51号B款
- CSFB1Y24051B
- 02
- 0
- 8
- 03
- 3.0%-3.7%
- 3.0%-3.7%
- 20240611
- 20240617
- 20240618
- 20250703
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年51号B款
- CSFB1Y24051B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24051B_00060011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24051B_00060007_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年4号A款
- CSFB3Y25004A
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250331
- 20250407
- 20250408
- 20280427
- 1900-01-01
- 1115
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年4号A款
- CSFB3Y25004A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25004A_00102124_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年25号E款
- CSFB1Y25025E
- 02
- 0
- 9
- 03
- 2.5%-3.3%
- 2.5%-3.3%
- 20250324
- 20250326
- 20250327
- 20260416
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年25号E款
- CSFB1Y25025E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25025E_00102113_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25025E_00102106_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈增利14天最短持有期固收6号理财产品C
- LCYS14CYZ06C
- 02
- 1
- 0
- 03
- 1.30%-2.10%
- 1.30%-2.10%
- 20250811
- 20250813
- 20250814
- 99991231
- 1900-01-01
- 2912582
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利14天最短持有期固收6号理财产品C
- LCYS14CYZ06C
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ06C_00112031_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ06C_00112025_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年30号B款
- CSFB3Y25030B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250804
- 20250811
- 20250812
- 20280817
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年30号B款
- CSFB3Y25030B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25030B_00112012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25030B_00112002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年26号C款
- CSYLFB3M24026C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240409
- 20240416
- 20240417
- 20240725
- 1900-01-01
- 99
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年26号C款
- CSYLFB3M24026C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24026C_00047024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24026C_00047020_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年37号C款
- CSFB1Y24037C
- 02
- 0
- 8
- 03
- 2.85%-3.65%
- 2.85%-3.65%
- 20240425
- 20240506
- 20240507
- 20250527
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年37号C款
- CSFB1Y24037C
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- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24037C_00046138_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24037C_00046134_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年107号F款
- CSFB1Y24107F
- 02
- 0
- 9
- 03
- 2.45%-3.15%
- 2.45%-3.15%
- 20241218
- 20241223
- 20241224
- 20260121
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年107号F款
- CSFB1Y24107F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24107F_00091012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24107F_00091002_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳益最低持有60天理财产品2号C
- PNHY250122C
- 02
- 1
- 0
- 03
- 中债-新综合财富(1年以下)指数收益率*80%+人民币活期存款基准
- 中债-新综合财富(1年以下)指数收益率*80%+人民币活期存款基准
- 20250616
- 20250616
- 20250617
- 20991231
- 1900-01-01
- 27225
- 01,02,03,04
- 开放净值
- 01,02
- 徽银理财安盈稳益最低持有60天理财产品2号C
- PNHY250122C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250122C_00109127_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250122C_00108030_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式67号A类份额
- YJ01250267A
- 02
- 0
- 4
- 03
- 2.7000%~2.9000%
- 2.7000%~2.9000%
- 20250313
- 20250319
- 20250320
- 20260429
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式67号A类份额
- YJ01250267A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250267A_00101056_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年77号E款
- CSFB6M24077E
- 02
- 0
- 8
- 03
- 2.3%-2.9%
- 2.3%-2.9%
- 20241125
- 20241202
- 20241203
- 20250612
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年77号E款
- CSFB6M24077E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24077E_00085009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24077E_00085002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年42号B款
- CSFB2Y25042B
- 02
- 0
- 9
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20250926
- 20251009
- 20251010
- 20271028
- 1900-01-01
- 748
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年42号B款
- CSFB2Y25042B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25042B_00115062_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25042B_00115058_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列天天金32号A类份额
- TG01250404A
- 01
- 1
- 0
- 03
- 0
- 0
- 20250514
- 20250515
- 20250516
- 20991231
- 1900-01-01
- 27257
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金32号A类份额
- TG01250404A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01250404A_00116106_6.pdf
- 0
- 1
- 代销北银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250337C
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250813
- 20250820
- 20250821
- 20260825
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250337C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250337C_00112033_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250337C_00113036_6.pdf
- 0
- 1
- 代销徽银理财
- 渤银理财财收有略六个月2025年37号D款
- CSFB6M25037D
- 02
- 0
- 9
- 03
- 2.45%-2.65%
- 2.45%-2.65%
- 20250616
- 20250623
- 20250624
- 20260114
- 1900-01-01
- 204
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年37号D款
- CSFB6M25037D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25037D_00109006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25037D_00109002_6.pdf
- 0
- 1
- 代销渤银理财
- 京华远见春系列固收封闭式191号A类份额
- YJ01240711A
- 02
- 0
- 8
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20240731
- 20240807
- 20240808
- 20241127
- 1900-01-01
- 111
- 01,02,03,04
- 封闭净值
- 01,02
- 京华远见春系列固收封闭式191号A类份额
- YJ01240711A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240711A_00074010_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年78号A款
- CSFB1Y25078A
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250728
- 20250804
- 20250805
- 20260820
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年78号A款
- CSFB1Y25078A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25078A_00109141_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25078A_00109137_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列天天金20号B类份额
- TG01240364B
- 01
- 1
- 0
- 03
- 0
- 0
- 20250410
- 20250410
- 20250411
- 20991231
- 1900-01-01
- 27292
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金20号B类份额
- TG01240364B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240364B_00115163_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年38号D款
- CSFB1Y25038D
- 02
- 0
- 9
- 03
- 2.3%-3.1%
- 2.3%-3.1%
- 20250414
- 20250421
- 20250422
- 20260521
- 1900-01-01
- 394
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年38号D款
- CSFB1Y25038D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25038D_00102143_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25038D_00102136_6.pdf
- 0
- 1
- 代销渤银理财
- 财收17号B款一年封闭
- CSFB1Y24017B
- 02
- 0
- 8
- 03
- 3.1%-3.9%
- 3.1%-3.9%
- 20240205
- 20240207
- 20240208
- 20250226
- 1900-01-01
- 384
- 01,02,03,04
- 封闭净值
- 01,02
- 财收17号B款一年封闭
- CSFB1Y24017B
- 50000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24017B_00033002_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24017B_00033006_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年27号C款
- CSYLFB3M24027C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240417
- 20240424
- 20240425
- 20240801
- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年27号C款
- CSYLFB3M24027C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24027C_00046074_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24027C_00046071_6.pdf
- 0
- 1
- 代销渤银理财
- 财收8号B款六个月封闭
- CSFB6M24008B
- 02
- 0
- 8
- 03
- 3.15%-3.45%
- 3.15%-3.45%
- 20240208
- 20240219
- 20240220
- 20240827
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收8号B款六个月封闭
- CSFB6M24008B
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24008B_00033019_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24008B_00033015_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略九个月2025年49号D款
- CSFB9M25049D
- 02
- 1
- 1
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20251029
- 20251105
- 20251106
- 20260813
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略九个月2025年49号D款
- CSFB9M25049D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25049D_00116173_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25049D_00116166_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年43号D款
- CSFB6M25043D
- 02
- 0
- 9
- 03
- 2.1%-2.5%
- 2.1%-2.5%
- 20250414
- 20250421
- 20250422
- 20251106
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年43号D款
- CSFB6M25043D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25043D_00102140_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25043D_00102136_6.pdf
- 0
- 1
- 代销渤银理财
- 财收11号D款六个月封闭
- CSFB6M24011D
- 02
- 0
- 8
- 03
- 2.9%-3.3%
- 2.9%-3.3%
- 20240219
- 20240226
- 20240227
- 20240829
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收11号D款六个月封闭
- CSFB6M24011D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24011D_00034006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24011D_00034002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年100号C款
- CSFB1Y24100C
- 02
- 0
- 9
- 03
- 2.45%-3.15%
- 2.45%-3.15%
- 20241028
- 20241104
- 20241105
- 20251127
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年100号C款
- CSFB1Y24100C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24100C_00080076_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24100C_00080069_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年67号C款
- CSFB6M25067C
- 02
- 0
- 9
- 03
- 2.25%-2.45%
- 2.25%-2.45%
- 20250730
- 20250806
- 20250807
- 20260304
- 1900-01-01
- 209
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年67号C款
- CSFB6M25067C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25067C_00109158_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25067C_00109154_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年41号B款
- CSFB2Y25041B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250922
- 20250926
- 20250929
- 20271014
- 1900-01-01
- 745
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年41号B款
- CSFB2Y25041B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25041B_00116049_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25041B_00116042_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收1年封闭
- PNHY250367B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250904
- 20250910
- 20250911
- 20260915
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收1年封闭
- PNHY250367B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250367B_00112124_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250367B_00112120_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略三个月2024年29号A款
- CSYLFB3M24029A
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240506
- 20240513
- 20240514
- 20240822
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年29号A款
- CSYLFB3M24029A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24029A_00049007_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24029A_00049003_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年58号D款
- CSFB1Y24058D
- 02
- 0
- 8
- 03
- 2.75%-3.45%
- 2.75%-3.45%
- 20240708
- 20240715
- 20240716
- 20250807
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年58号D款
- CSFB1Y24058D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24058D_00067015_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24058D_00067002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年95号C款
- CSFB1Y24095C
- 02
- 0
- 8
- 03
- 2.55%-3.25%
- 2.55%-3.25%
- 20240926
- 20241008
- 20241009
- 20251030
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年95号C款
- CSFB1Y24095C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24095C_00078095_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24095C_00078085_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式92号固收类理财产品
- 9K24392C
- 02
- 0
- 4
- 03
- 2.6%-2.8%
- 2.6%-2.8%
- 20241016
- 20241022
- 20241023
- 20251223
- 1900-01-01
- 426
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式92号固收类理财产品
- 9K24392C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24392C_00080043_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24392C_00080035_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年20号E款
- CSFB1Y25020E
- 02
- 0
- 9
- 03
- 2.30%-3.10%
- 2.30%-3.10%
- 20250217
- 20250224
- 20250225
- 20260319
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年20号E款
- CSFB1Y25020E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25020E_00101038_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25020E_00101031_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式39号Z类份额
- YJ01241222Z
- 02
- 0
- 4
- 03
- 2.90%
- 2.90%
- 20250116
- 20250123
- 20250124
- 20260318
- 1900-01-01
- 418
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式39号Z类份额
- YJ01241222Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241222Z_00102002_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年35号B款
- CSFB2Y25035B
- 02
- 0
- 9
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20250721
- 20250728
- 20250729
- 20270805
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年35号B款
- CSFB2Y25035B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25035B_00109112_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25035B_00109105_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年40号B款
- CSFB2Y25040B
- 02
- 0
- 9
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20250825
- 20250901
- 20250902
- 20270909
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年40号B款
- CSFB2Y25040B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25040B_00112075_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25040B_00112062_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略(内测)2023年152号A款-渤银理财固收封闭理财
- CSYLFB23152A
- 02
- 0
- 3
- 03
- 2.0%
- 2.0%
- 20231222
- 20231225
- 20231226
- 20240325
- 1900-01-01
- 90
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略(内测)2023年152号A款-渤银理财固收封闭理财
- CSYLFB23152A
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB23152A_2_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB23152A_6_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年63号D款
- CSFB6M24063D
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20241028
- 20241104
- 20241105
- 20250515
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年63号D款
- CSFB6M24063D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24063D_00080073_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24063D_00080069_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式66号A类份额
- YJ01250266A
- 02
- 0
- 4
- 03
- 2.7000%~2.9000%
- 2.7000%~2.9000%
- 20250306
- 20250312
- 20250313
- 20260422
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式66号A类份额
- YJ01250266A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250266A_00102080_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年38号B款
- CSFB2Y25038B
- 02
- 0
- 9
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20250728
- 20250804
- 20250805
- 20270812
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年38号B款
- CSFB2Y25038B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25038B_00109144_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25038B_00109137_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式108号Z类份额
- YJ01250514Z
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250710
- 20250716
- 20250717
- 20260121
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式108号Z类份额
- YJ01250514Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250514Z_00109080_6.pdf
- 0
- 1
- 代销北银理财
- 工银理财·鑫添益最短持有60天固收类开放产品1号(24G2960E)
- 24G2960E
- 02
- 1
- 0
- 03
- 2%-3%
- 2%-3%
- 20241017
- 20241022
- 20241023
- 99991231
- 1900-01-01
- 2912877
- 01,02,03,04
- 开放净值
- 01,02
- 工银理财·鑫添益最短持有60天固收类开放产品1号(24G2960E)
- 24G2960E
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//24G2960E_00101003_6.pdf
- 0
- 1
- 代销工银理财
- “安盈”稳利3个月固定收益类理财产品
- PNHY250345A
- 02
- 0
- 4
- 03
- 2.00%-2.30%
- 2.00%-2.30%
- 20250930
- 20251009
- 20251010
- 20260113
- 1900-01-01
- 95
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利3个月固定收益类理财产品
- PNHY250345A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250345A_00116061_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250345A_00116058_6.pdf
- 0
- 1
- 代销徽银理财
- 兴银理财稳利恒盈封闭式2024年603期固收类理财产品
- 9N24603B
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20240926
- 20241010
- 20241011
- 20250219
- 1900-01-01
- 131
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年603期固收类理财产品
- 9N24603B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24603B_00080006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24603B_00080002_6.pdf
- 0
- 1
- 代销兴银理财
- 理财有术持盈30天最短持有期固收5号理财产品C
- LCYS30CY005C
- 02
- 1
- 0
- 03
- 1.80%-2.90%
- 1.80%-2.90%
- 20250117
- 20250122
- 20250318
- 99991231
- 1900-01-01
- 2912731
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈30天最短持有期固收5号理财产品C
- LCYS30CY005C
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS30CY005C_00102105_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS30CY005C_00102095_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年49号F款
- CSFB6M24049F
- 02
- 0
- 8
- 03
- 2.3%-2.9%
- 2.3%-2.9%
- 20240819
- 20240826
- 20240827
- 20250313
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年49号F款
- CSFB6M24049F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24049F_00077024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24049F_00077018_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年33号C款
- CSYLFB3M24033C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240617
- 20240624
- 20240625
- 20241010
- 1900-01-01
- 107
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年33号C款
- CSYLFB3M24033C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24033C_00062017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24033C_00062012_6.pdf
- 0
- 1
- 代销渤银理财
- 财收20号B款(新春特供)一年封闭
- CSFB1Y24020B
- 02
- 0
- 8
- 03
- 3.3%-4.0%
- 3.3%-4.0%
- 20240208
- 20240219
- 20240220
- 20250311
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收20号B款(新春特供)一年封闭
- CSFB1Y24020B
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24020B_00033008_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24020B_00033010_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列天天金15号A类份额
- TG01240350A
- 01
- 1
- 0
- 03
- 0
- 0
- 20250214
- 20250217
- 20250218
- 20991231
- 1900-01-01
- 27344
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金15号A类份额
- TG01240350A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240350A_00102132_6.pdf
- 0
- 1
- 代销北银理财
- 理财有术持盈增利14天最短持有期固收5号理财产品C
- LCYS14CYZ05C
- 02
- 1
- 0
- 03
- 1.30%-2.10%
- 1.30%-2.10%
- 20250811
- 20250813
- 20250814
- 99991231
- 1900-01-01
- 2912582
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利14天最短持有期固收5号理财产品C
- LCYS14CYZ05C
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ05C_00112028_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ05C_00112025_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年36号C款
- CSFB6M24036C
- 02
- 0
- 8
- 03
- 2.75%-3.45%
- 2.75%-3.45%
- 20240624
- 20240701
- 20240702
- 20250109
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年36号C款
- CSFB6M24036C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24036C_00064011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24036C_00064007_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭1年
- PNHY250430B
- 02
- 0
- 4
- 03
- 2.60%-2.90%
- 2.60%-2.90%
- 20251016
- 20251022
- 20251023
- 20261027
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭1年
- PNHY250430B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250430B_00115120_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250430B_00115118_6.pdf
- 0
- 1
- 代销徽银理财
- 徽银理财安盈稳利固收1年封闭
- PNHY250257B
- 02
- 0
- 4
- 03
- 2.65%-3.05%
- 2.65%-3.05%
- 20250630
- 20250708
- 20250709
- 20260714
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收1年封闭
- PNHY250257B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250257B_00108084_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250257B_00108079_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年2024年40号C款
- CSFB1Y24040C
- 02
- 0
- 8
- 03
- 2.9%-3.7%
- 2.9%-3.7%
- 20240506
- 20240508
- 20240509
- 20250529
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年40号C款
- CSFB1Y24040C
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24040C_00049017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24040C_00049013_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银稳添利日盈增利61号B
- 9K92161B
- 01
- 1
- 0
- 03
- 1.6%-2.5%
- 1.6%-2.5%
- 20241216
- 20241217
- 20241218
- 20991231
- 1900-01-01
- 27406
- 01,02,03,04
- 开放净值
- 01,02
- 兴银稳添利日盈增利61号B
- 9K92161B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K92161B_00102094_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K92161B_00102075_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2024年79号C款
- CSFB6M24079C
- 02
- 0
- 8
- 03
- 2.3%-2.9%
- 2.3%-2.9%
- 20241118
- 20241125
- 20241126
- 20250605
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年79号C款
- CSFB6M24079C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24079C_00084006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24079C_00084002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年9号E款
- CSFB1Y25009E
- 02
- 0
- 9
- 03
- 2.30%-3.10%
- 2.30%-3.10%
- 20250310
- 20250317
- 20250318
- 20260409
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年9号E款
- CSFB1Y25009E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25009E_00102090_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25009E_00102083_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈90天最短持有期固收2号理财产品D
- LCYS90CY002D
- 02
- 1
- 0
- 03
- 1.90%-3.10%
- 1.90%-3.10%
- 20231222
- 20231225
- 20240904
- 20991231
- 1900-01-01
- 27511
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈90天最短持有期固收2号理财产品D
- LCYS90CY002D
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS90CY002D_00081033_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS90CY002D_00080049_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月封闭2024年6号D款
- CSFB6M24006D
- 02
- 0
- 8
- 03
- 3.1%-3.4%
- 3.1%-3.4%
- 20240129
- 20240131
- 20240201
- 20240806
- 1900-01-01
- 187
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月封闭2024年6号D款
- CSFB6M24006D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24006D_00031008_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24006D_00032002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式46号固收类理财产品
- 9A27946B
- 02
- 0
- 4
- 03
- 2.85%-3.05%
- 2.85%-3.05%
- 20240827
- 20240903
- 20240904
- 20250929
- 1900-01-01
- 390
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式46号固收类理财产品
- 9A27946B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27946B_00079005_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27946B_00079002_6.pdf
- 0
- 1
- 代销兴银理财
- 兴银理财稳利恒盈封闭式2024年572期固收类理财产品
- 9N24572A
- 02
- 0
- 4
- 03
- 2.65%-3.65%
- 2.65%-3.65%
- 20241023
- 20241030
- 20241031
- 20251124
- 1900-01-01
- 389
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年572期固收类理财产品
- 9N24572A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24572A_00080058_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24572A_00080054_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2024年36号E款
- CSFB1Y24036E
- 02
- 0
- 8
- 03
- 2.85%-3.65%
- 2.85%-3.65%
- 20240410
- 20240415
- 20240416
- 20250513
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年36号E款
- CSFB1Y24036E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24036E_00046047_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24036E_00046043_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年45号B款
- CSFB2Y25045B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250908
- 20250915
- 20250916
- 20270923
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年45号B款
- CSFB2Y25045B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25045B_00112141_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25045B_00112134_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2024年1号B款
- CSFB2Y24001B
- 02
- 0
- 9
- 03
- 3.1%-3.9%
- 3.1%-3.9%
- 20240516
- 20240522
- 20240523
- 20260527
- 1900-01-01
- 734
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2024年1号B款
- CSFB2Y24001B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24001B_00050037_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24001B_00054003_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式142号A类份额
- YJ01250722A
- 02
- 0
- 4
- 03
- 1.9000%~2.1000%
- 1.9000%~2.1000%
- 20251016
- 20251022
- 20251023
- 20260311
- 1900-01-01
- 139
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式142号A类份额
- YJ01250722A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250722A_00116088_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列诚享7天持有期4号B类份额
- YJ01240516B
- 02
- 1
- 0
- 03
- 2.2000%~2.7000%
- 2.2000%~2.7000%
- 20240723
- 20240724
- 20240725
- 20991231
- 1900-01-01
- 27552
- 01,02,03,04
- 开放净值
- 01,02
- 北银理财京华远见春系列诚享7天持有期4号B类份额
- YJ01240516B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240516B_00079058_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利恒盈封闭式2024年252期固收类理财产品
- 9N24252A
- 02
- 0
- 4
- 03
- 2.5%-2.7%
- 2.5%-2.7%
- 20240814
- 20240820
- 20240821
- 20250226
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年252期固收类理财产品
- 9N24252A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24252A_00076031_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24252A_00076027_6.pdf
- 0
- 1
- 代销兴银理财
- 兴银理财稳利恒盈封闭式2024年357期固收类理财产品
- 9N24357D
- 02
- 0
- 4
- 03
- 3.1%-3.3%
- 3.1%-3.3%
- 20240613
- 20240619
- 20240620
- 20260721
- 1900-01-01
- 761
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年357期固收类理财产品
- 9N24357D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24357D_00060026_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24357D_00060022_6.pdf
- 0
- 1
- 代销兴银理财
- 渤银理财财收有略六个月2025年76号C款
- CSFB6M25076C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250820
- 20250825
- 20250826
- 20260305
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年76号C款
- CSFB6M25076C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25076C_00112045_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25076C_00112041_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年113号A款
- CSFB1Y24113A
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20241209
- 20241216
- 20241217
- 20260108
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年113号A款
- CSFB1Y24113A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24113A_00089006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24113A_00089002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年22号E款
- CSFB1Y25022E
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20250407
- 20250414
- 20250415
- 20260513
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年22号E款
- CSFB1Y25022E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25022E_00101094_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25022E_00101087_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式107号Z类份额
- YJ01250513Z
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250703
- 20250709
- 20250710
- 20260114
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式107号Z类份额
- YJ01250513Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250513Z_00109069_6.pdf
- 0
- 1
- 代销北银理财
- 理财有术持盈365天最短持有期固收2号理财产品D
- LCYS365CY02D
- 02
- 1
- 0
- 03
- 1.60%-2.60%
- 1.60%-2.60%
- 20250430
- 20250506
- 20250507
- 99991231
- 1900-01-01
- 2912681
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈365天最短持有期固收2号理财产品D
- LCYS365CY02D
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS365CY02D_00109026_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS365CY02D_00109022_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年604期固收类理财产品
- 9N24604B
- 02
- 0
- 4
- 03
- 2.38%
- 2.38%
- 20241010
- 20241016
- 20241017
- 20250305
- 1900-01-01
- 139
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年604期固收类理财产品
- 9N24604B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24604B_00080018_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24604B_00080015_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式172号A类份额
- YJ01250827A
- 02
- 0
- 4
- 03
- 2.1000%~2.3000%
- 2.1000%~2.3000%
- 20251016
- 20251022
- 20251023
- 20260508
- 1900-01-01
- 197
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式172号A类份额
- YJ01250827A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250827A_00116088_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略九个月2025年31号E款
- CSFB9M25031E
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250723
- 20250730
- 20250731
- 20260514
- 1900-01-01
- 287
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年31号E款
- CSFB9M25031E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25031E_00109125_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25031E_00109118_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年77号E款
- CSFB1Y24077E
- 02
- 0
- 8
- 03
- 2.65%-3.35%
- 2.65%-3.35%
- 20240812
- 20240819
- 20240820
- 20250911
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年77号E款
- CSFB1Y24077E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24077E_00077012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24077E_00077002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年29号B款
- CSFB3Y25029B
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250604
- 20250609
- 20250610
- 20280615
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年29号B款
- CSFB3Y25029B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25029B_00105025_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25029B_00105012_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式117号Z类份额
- YJ01250580Z
- 02
- 0
- 8
- 03
- 2.5500%~2.7500%
- 2.5500%~2.7500%
- 20250627
- 20250702
- 20250703
- 20251029
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式117号Z类份额
- YJ01250580Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250580Z_00108061_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年98号C款
- CSFB1Y24098C
- 02
- 0
- 9
- 03
- 2.5%-3.2%
- 2.5%-3.2%
- 20241014
- 20241021
- 20241022
- 20251113
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年98号C款
- CSFB1Y24098C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24098C_00081016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24098C_00081012_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2025年474期固收类理财产品
- 9A25474D
- 01
- 0
- 4
- 03
- 1.84%
- 1.84%
- 20250731
- 20250811
- 20250812
- 20260106
- 1900-01-01
- 147
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2025年474期固收类理财产品
- 9A25474D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A25474D_00109166_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A25474D_00109162_6.pdf
- 0
- 1
- 代销兴银理财
- 渤银理财财收有略六个月2025年70号C款
- CSFB6M25070C
- 02
- 0
- 9
- 03
- 2.2%-2.5%
- 2.2%-2.5%
- 20251009
- 20251015
- 20251016
- 20260423
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年70号C款
- CSFB6M25070C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25070C_00115077_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25070C_00115070_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年43号F款
- CSFB6M24043F
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20240805
- 20240812
- 20240813
- 20250227
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年43号F款
- CSFB6M24043F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24043F_00076009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24043F_00076002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年22号B款
- CSFB6M24022B
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240425
- 20240506
- 20240507
- 20241121
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年22号B款
- CSFB6M24022B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24022B_00046133_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24022B_00046129_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年51号B款
- CSFB2Y25051B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20251013
- 20251020
- 20251021
- 20271104
- 1900-01-01
- 744
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年51号B款
- CSFB2Y25051B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25051B_00116073_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25051B_00116066_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250428B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20251010
- 20251015
- 20251016
- 20261020
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250428B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250428B_00115106_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250428B_00115102_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式125号A类份额
- YJ01250588A
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20250828
- 20250903
- 20250904
- 20260318
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式125号A类份额
- YJ01250588A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250588A_00113068_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列易淘金2号B类份额
- TG01231016B
- 01
- 1
- 0
- 03
- 0.00%
- 0.00%
- 20240523
- 20240523
- 20240524
- 20991231
- 1900-01-01
- 27614
- 01,02,03,04
- 货币净值
- 01,02
- 北银理财京华远见春系列易淘金2号B类份额
- TG01231016B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01231016B_00108139_6.pdf
- 0
- 1
- 代销北银理财
- 春系列天天金13号A类份额
- TG01240348A
- 01
- 1
- 0
- 03
- 0
- 0
- 20250123
- 20250123
- 20250124
- 20991231
- 1900-01-01
- 27369
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金13号A类份额
- TG01240348A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240348A_00102064_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年68号D款
- CSFB1Y24068D
- 02
- 0
- 8
- 03
- 2.9%-3.6%
- 2.9%-3.6%
- 20240724
- 20240731
- 20240801
- 20250828
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年68号D款
- CSFB1Y24068D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24068D_00072017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24068D_00072007_6.pdf
- 0
- 1
- 代销渤银理财
- 京华远见春系列固收封闭式195号A类份额
- YJ01240715A
- 02
- 0
- 8
- 03
- 2.7000%~2.9000%
- 2.7000%~2.9000%
- 20240731
- 20240807
- 20240808
- 20250219
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 京华远见春系列固收封闭式195号A类份额
- YJ01240715A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240715A_00074012_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式171号A类份额
- YJ01250826A
- 02
- 0
- 4
- 03
- 2.1000%~2.3000%
- 2.1000%~2.3000%
- 20251011
- 20251015
- 20251016
- 20260429
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式171号A类份额
- YJ01250826A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250826A_00115114_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2024年14号D款-渤银理财固收封闭理财
- CSFB6M24014D
- 02
- 0
- 8
- 03
- 2.8%-3.3%
- 2.8%-3.3%
- 20240311
- 20240318
- 20240319
- 20240924
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年14号D款-渤银理财固收封闭理财
- CSFB6M24014D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24014D_00042007_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24014D_00042003_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式124号A类份额
- YJ01250587A
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20250821
- 20250827
- 20250828
- 20260311
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式124号A类份额
- YJ01250587A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250587A_00112049_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财银储有道系列添金盈现金管理理财6号C
- YCYDTJY006C
- 01
- 1
- 0
- 03
- 中国人民银行公布的七天通知存款利率
- 中国人民银行公布的七天通知存款利率
- 20250526
- 20250527
- 20250528
- 99991231
- 1900-01-01
- 2912660
- 01,02,03,04
- 货币净值
- 01,02
- 渤银理财银储有道系列添金盈现金管理理财6号C
- YCYDTJY006C
- 0.01
- 0
- /boimc/fileDir/resource/file/dxlc//YCYDTJY006C_00106043_0.pdf
- /boimc/fileDir/resource/file/dxlc//YCYDTJY006C_00106039_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年2号D款-渤银理财固收封闭理财
- CSFB1Y24002D
- 02
- 0
- 8
- 03
- 3.55%-4.05%
- 3.55%-4.05%
- 20240104
- 20240108
- 20240109
- 20250124
- 1900-01-01
- 381
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年2号D款-渤银理财固收封闭理财
- CSFB1Y24002D
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24002D_4_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24002D_2_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列固收封闭式225号A类份额
- YJ01240748A
- 02
- 0
- 8
- 03
- 2.9000%~3.1000%
- 2.9000%~3.1000%
- 20240829
- 20240904
- 20240905
- 20250910
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式225号A类份额
- YJ01240748A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240748A_00079007_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列卓远固收封闭式111号理财产品
- YJ01250574
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250522
- 20250528
- 20250529
- 20250910
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式111号理财产品
- YJ01250574
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250574_00106023_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列卓远固收封闭式83号理财产品
- YJ01250413
- 02
- 0
- 4
- 03
- 2.7000%~2.9000%
- 2.7000%~2.9000%
- 20250616
- 20250623
- 20250624
- 20260702
- 1900-01-01
- 373
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式83号理财产品
- YJ01250413
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250413_00109010_6.pdf
- 0
- 1
- 代销北银理财
- 京华远见春系列固收封闭式149号M类份额
- TG01240219M
- 02
- 0
- 8
- 03
- 2.8000%~3.0000%
- 2.8000%~3.0000%
- 20240718
- 20240724
- 20240725
- 20250122
- 1900-01-01
- 181
- 01,02,03,04
- 封闭净值
- 01,02
- 京华远见春系列固收封闭式149号M类份额
- TG01240219M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 0
- 1
- 代销北银理财
- 财收有略六个月2025年15号A款
- CSFB6M25015A
- 02
- 0
- 8
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20250205
- 20250212
- 20250213
- 20250821
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年15号A款
- CSFB6M25015A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25015A_00101010_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25015A_00101006_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年112号D款
- CSFB1Y24112D
- 02
- 0
- 9
- 03
- 2.5%-3.2%
- 2.5%-3.2%
- 20241008
- 20241014
- 20241015
- 20251106
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年112号D款
- CSFB1Y24112D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24112D_00080014_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24112D_00080007_6.pdf
- 0
- 1
- 代销渤银理财
- 安瑞·鸿运最短持有30天2号B私行尊享
- 2401RC002B
- 02
- 1
- 0
- 03
- 1.80%~2.80%
- 1.80%~2.80%
- 20241225
- 20241230
- 20241231
- 20991231
- 1900-01-01
- 27393
- 01,02,03,04
- 开放净值
- 01,02
- 安瑞·鸿运最短持有30天2号B私行尊享
- 2401RC002B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 1
- 1
- 代销中邮理财
- 徽银理财安盈稳利固收封闭1年
- PNHY250299B
- 02
- 0
- 4
- 03
- 2.60%-2.90%
- 2.60%-2.90%
- 20250724
- 20250730
- 20250731
- 20260804
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭1年
- PNHY250299B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250299B_00109136_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250299B_00109132_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年封闭2024年14号D款
- CSFB1Y24014D
- 02
- 0
- 8
- 03
- 3.2%-3.85%
- 3.2%-3.85%
- 20240124
- 20240129
- 20240130
- 20250218
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年封闭2024年14号D款
- CSFB1Y24014D
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24014D_00031002_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24014D_00031003_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年12号D款
- CSFB9M25012D
- 02
- 0
- 9
- 03
- 2.50%-3.00%
- 2.50%-3.00%
- 20250709
- 20250716
- 20250717
- 20260430
- 1900-01-01
- 287
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年12号D款
- CSFB9M25012D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25012D_00108109_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25012D_00108102_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年25号C款
- CSYLFB3M24025C
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240401
- 20240408
- 20240409
- 20240718
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年25号C款
- CSYLFB3M24025C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24025C_00046006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24025C_00046010_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年82号C款
- CSFB6M25082C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250924
- 20251009
- 20251010
- 20260416
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年82号C款
- CSFB6M25082C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25082C_00115033_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25082C_00115029_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年74号D款
- CSFB1Y24074D
- 02
- 0
- 8
- 03
- 2.75%-3.45%
- 2.75%-3.45%
- 20240801
- 20240805
- 20240806
- 20250828
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年74号D款
- CSFB1Y24074D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24074D_00075009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24074D_00075002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年44号B款
- CSFB2Y25044B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250901
- 20250908
- 20250909
- 20270916
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年44号B款
- CSFB2Y25044B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25044B_00112112_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25044B_00112105_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年571期固收类理财产品
- 9N24571A
- 02
- 0
- 4
- 03
- 2.7%-3.7%
- 2.7%-3.7%
- 20241011
- 20241021
- 20241022
- 20251114
- 1900-01-01
- 388
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年571期固收类理财产品
- 9N24571A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24571A_00080028_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24571A_00080024_6.pdf
- 0
- 1
- 代销兴银理财
- 渤银理财财收有略六个月2025年75号C款
- CSFB6M25075C
- 02
- 0
- 9
- 03
- 2.2%-2.45%
- 2.2%-2.45%
- 20250813
- 20250820
- 20250821
- 20260305
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年75号C款
- CSFB6M25075C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25075C_00113032_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25075C_00113029_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年27号C款
- CSFB1Y25027C
- 02
- 0
- 9
- 03
- 2.30%-3.10%
- 2.30%-3.10%
- 20250303
- 20250310
- 20250311
- 20260401
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年27号C款
- CSFB1Y25027C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25027C_00102060_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25027C_00102053_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年569期固收类理财产品
- 9N24569A
- 02
- 0
- 4
- 03
- 2.65%-3.65%
- 2.65%-3.65%
- 20240920
- 20240926
- 20240927
- 20250929
- 1900-01-01
- 367
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年569期固收类理财产品
- 9N24569A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24569A_00078070_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24569A_00078066_6.pdf
- 0
- 1
- 代销兴银理财
- 理财有术持盈增利365天最短持有期固收2号理财产品D
- LCYS365CYZ2D
- 02
- 1
- 0
- 03
- 1.80%-2.60%
- 1.80%-2.60%
- 20250509
- 20250512
- 20250513
- 99991231
- 1900-01-01
- 2912675
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利365天最短持有期固收2号理财产品D
- LCYS365CYZ2D
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS365CYZ2D_00116108_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS365CYZ2D_00113012_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式143号A类份额
- YJ01250723A
- 02
- 0
- 4
- 03
- 1.9000%~2.1000%
- 1.9000%~2.1000%
- 20251023
- 20251029
- 20251030
- 20260318
- 1900-01-01
- 139
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式143号A类份额
- YJ01250723A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250723A_00115145_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月封闭2024年7号B款
- CSFB6M24007B
- 02
- 0
- 8
- 03
- 3.1%-3.4%
- 3.1%-3.4%
- 20240201
- 20240207
- 20240208
- 20240813
- 1900-01-01
- 187
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月封闭2024年7号B款
- CSFB6M24007B
- 50000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24007B_00031010_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24007B_00031013_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年37号B款
- CSFB2Y25037B
- 02
- 0
- 9
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20250811
- 20250818
- 20250819
- 20270826
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年37号B款
- CSFB2Y25037B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25037B_00113024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25037B_00113017_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年99号I款
- CSFB6M24099I
- 02
- 0
- 8
- 03
- 2.35%-2.95%
- 2.35%-2.95%
- 20241218
- 20241225
- 20241226
- 20250703
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年99号I款
- CSFB6M24099I
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24099I_00091006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24099I_00091002_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年68号C款
- CSFB6M25068C
- 02
- 0
- 9
- 03
- 2.25%-2.45%
- 2.25%-2.45%
- 20250806
- 20250813
- 20250814
- 20260305
- 1900-01-01
- 203
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年68号C款
- CSFB6M25068C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25068C_00112021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25068C_00112017_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年30号E款
- CSFB9M25030E
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250813
- 20250820
- 20250821
- 20260528
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年30号E款
- CSFB9M25030E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25030E_00113035_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25030E_00113029_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收1年封闭
- PNHY250273B
- 02
- 0
- 4
- 03
- 2.65%-2.95%
- 2.65%-2.95%
- 20250709
- 20250716
- 20250717
- 20260721
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收1年封闭
- PNHY250273B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250273B_00108114_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250273B_00108110_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略三个月2025年10号E款
- CSYLFB3M25010E
- 02
- 0
- 9
- 03
- 2.20%-2.50%
- 2.20%-2.50%
- 20251020
- 20251027
- 20251028
- 20260205
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2025年10号E款
- CSYLFB3M25010E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M25010E_00116105_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M25010E_00116092_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式68号A类份额
- YJ01250268A
- 02
- 0
- 4
- 03
- 2.8000%~3.0000%
- 2.8000%~3.0000%
- 20250320
- 20250327
- 20250328
- 20260507
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式68号A类份额
- YJ01250268A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250268A_00101072_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式132号Q类份额
- YJ01250712Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250807
- 20250813
- 20250814
- 20251210
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式132号Q类份额
- YJ01250712Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
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- 代销北银理财
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- 1
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- 03
- 0
- 0
- 20241105
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- 0
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- 1900-01-01
- 100
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- 代销渤银理财
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- 0
- 8
- 03
- 2.8%-3.3%
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- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
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- 财收有略三个月2024年4号-渤银理财固收封闭理财
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- 1
- 代销渤银理财
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- 0
- 9
- 03
- 2.85%-3.45%
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- 1101
- 01,02,03,04
- 封闭净值
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- 财收有略三年2025年6号C款(财富节限定)
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- 1
- 代销渤银理财
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- 1
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- 03
- 人民币7天通知存款基准利率
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- 20991231
- 1900-01-01
- 27230
- 01,02,03,04
- 货币净值
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- 徽银理财徽安现金管理类理财产品47号B
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- /boimc/fileDir/resource/file/dxlc//PNHY250113B_00108038_0.pdf
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- 1
- 代销徽银理财
- 春系列卓远固收封闭式43号A类份额
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- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
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- 20250109
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- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式43号A类份额
- YJ01241206A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
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- 0
- 1
- 代销北银理财
- 喜盈30天周期开放固收7号-渤银理财理财有术系列C
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- 02
- 1
- 0
- 03
- 1.30%-3.05%
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- 20220607
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- 20240904
- 20991231
- 1900-01-01
- 27511
- 01,02,03,04
- 客户周期净值
- 01,02
- 喜盈30天周期开放固收7号-渤银理财理财有术系列C
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- 0
- /boimc/fileDir/resource/file/dxlc//LZKGG00007C_00113060_0.pdf
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- 0
- 1
- 代销渤银理财
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- 0
- 9
- 03
- 2.70%-3.30%
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- 20250901
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- 20280914
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
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- 财收有略三年2025年42号B款
- CSFB3Y25042B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25042B_00112115_0.pdf
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- 0
- 1
- 代销渤银理财
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- 02
- 0
- 8
- 03
- 3.15%-3.45%
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- 20240122
- 20240129
- 20240130
- 20240801
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月封闭2024年5号A款
- CSFB6M24005A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24005A_00030004_0.pdf
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- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年21号D款
- CSFB6M24021D
- 02
- 0
- 8
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20240409
- 20240416
- 20240417
- 20241017
- 1900-01-01
- 183
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年21号D款
- CSFB6M24021D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24021D_00047034_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24021D_00047030_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年39号E款
- CSFB1Y24039E
- 02
- 0
- 8
- 03
- 2.85%-3.65%
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- 20240417
- 20240422
- 20240423
- 20250521
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年39号E款
- CSFB1Y24039E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24039E_00046080_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24039E_00046076_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式256号A类份额
- YJ01250807A
- 02
- 0
- 4
- 03
- 2.60%
- 2.60%
- 20250929
- 20251010
- 20251011
- 20261216
- 1900-01-01
- 431
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式256号A类份额
- YJ01250807A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250807A_00115067_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列卓远固收封闭式84号理财产品
- YJ01250414
- 02
- 0
- 4
- 03
- 2.7000%~2.9000%
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- 20250623
- 20250626
- 20250627
- 20260709
- 1900-01-01
- 377
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式84号理财产品
- YJ01250414
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250414_00108029_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年21号A款
- CSFB3Y25021A
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250407
- 20250414
- 20250415
- 20280511
- 1900-01-01
- 1122
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年21号A款
- CSFB3Y25021A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25021A_00101097_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25021A_00101087_6.pdf
- 0
- 1
- 代销渤银理财
- 财收24号D款一年封闭
- CSFB1Y24024D
- 02
- 0
- 8
- 03
- 3.10%-3.85%
- 3.10%-3.85%
- 20240219
- 20240221
- 20240222
- 20250312
- 1900-01-01
- 384
- 01,02,03,04
- 封闭净值
- 01,02
- 财收24号D款一年封闭
- CSFB1Y24024D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24024D_00034011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24024D_00034015_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列诚享14天持有期5号F类份额
- TG01240114F
- 02
- 1
- 0
- 03
- 0
- 0
- 20250313
- 20250313
- 20250314
- 20991231
- 1900-01-01
- 27320
- 01,02,03,04
- 开放净值
- 01,02
- 春系列诚享14天持有期5号F类份额
- TG01240114F
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240114F_00101111_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利恒盈封闭式2024年332期固收类理财产品
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- 02
- 0
- 4
- 03
- 2.67%
- 2.67%
- 20241014
- 20241021
- 20241022
- 20251118
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年332期固收类理财产品
- 9N24332C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24332C_00081021_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24332C_00081017_6.pdf
- 0
- 1
- 代销兴银理财
- “安盈”稳利5个月固定收益类理财产品
- PNHY250363A
- 02
- 0
- 4
- 03
- 2.15%-2.55%
- 2.15%-2.55%
- 20250827
- 20250902
- 20250903
- 20260127
- 1900-01-01
- 146
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利5个月固定收益类理财产品
- PNHY250363A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250363A_00112098_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250363A_00112099_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略六个月2025年44号F款
- CSFB6M25044F
- 02
- 0
- 9
- 03
- 2.00%-2.40%
- 2.00%-2.40%
- 20250507
- 20250512
- 20250513
- 20251120
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年44号F款
- CSFB6M25044F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25044F_00102228_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25044F_00102224_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年12号C款
- CSFB1Y25012C
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250224
- 20250303
- 20250304
- 20260326
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年12号C款
- CSFB1Y25012C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25012C_00101046_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25012C_00101039_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式88号Z类份额
- YJ01250418Z
- 02
- 0
- 4
- 03
- 2.65%
- 2.65%
- 20250717
- 20250723
- 20250724
- 20260902
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式88号Z类份额
- YJ01250418Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250418Z_00108127_6.pdf
- 0
- 1
- 代销北银理财
- “安盈”稳利3个月固定收益类理财产品
- PNHY250334A
- 02
- 0
- 4
- 03
- 2.00%-2.40%
- 2.00%-2.40%
- 20250924
- 20250929
- 20250930
- 20260106
- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利3个月固定收益类理财产品
- PNHY250334A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250334A_00115041_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250334A_00115037_6.pdf
- 0
- 1
- 代销徽银理财
- 北银理财京华远见春系列卓远固收封闭式92号理财产品
- YJ01250518
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250507
- 20250514
- 20250515
- 20260211
- 1900-01-01
- 272
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式92号理财产品
- YJ01250518
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250518_00101114_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略六个月2025年3号D款
- CSFB6M25003D
- 02
- 0
- 8
- 03
- 2.15%-2.55%
- 2.15%-2.55%
- 20250407
- 20250414
- 20250415
- 20251030
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年3号D款
- CSFB6M25003D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25003D_00101091_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25003D_00101087_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财银储有道系列添金盈现金管理理财11号
- YCYDTJY11
- 01
- 1
- 0
- 03
- 中国人民银行公布的七天通知存款利率
- 中国人民银行公布的七天通知存款利率
- 20240301
- 20240304
- 20240305
- 20991230
- 1900-01-01
- 27693
- 01,02,03,04
- 货币净值
- 01,02
- 渤银理财银储有道系列添金盈现金管理理财11号
- YCYDTJY11
- 0.01
- 0
- /boimc/fileDir/resource/file/dxlc//YCYDTJY11_00113028_0.pdf
- /boimc/fileDir/resource/file/dxlc//YCYDTJY11_00054006_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年81号C款
- CSFB6M24081C
- 02
- 0
- 8
- 03
- 2.35%-2.95%
- 2.35%-2.95%
- 20241111
- 20241119
- 20241120
- 20250528
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年81号C款
- CSFB6M24081C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24081C_00082006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24081C_00082002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式161号固收类理财产品
- 9A27161C
- 02
- 0
- 8
- 03
- 2.45%-2.65%
- 2.45%-2.65%
- 20241106
- 20241112
- 20241113
- 20250213
- 1900-01-01
- 92
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式161号固收类理财产品
- 9A27161C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27161C_00081047_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27161C_00081043_6.pdf
- 0
- 1
- 代销兴银理财
- 理财有术持盈增利14天最短持有期固收3号理财产品A
- LCYS14CYZ03A
- 02
- 1
- 0
- 03
- 1.60%-3.00%
- 1.60%-3.00%
- 20250207
- 20250210
- 20250211
- 99991231
- 1900-01-01
- 2912766
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利14天最短持有期固收3号理财产品A
- LCYS14CYZ03A
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ03A_00108115_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS14CYZ03A_00101014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年16号A款
- CSFB3Y25016A
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250303
- 20250310
- 20250311
- 20280323
- 1900-01-01
- 1108
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年16号A款
- CSFB3Y25016A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25016A_00102063_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25016A_00102053_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年38号F款(财富节限定)
- CSFB6M25038F
- 02
- 0
- 9
- 03
- 2.50%-2.70%
- 2.50%-2.70%
- 20250623
- 20250626
- 20250627
- 20260115
- 1900-01-01
- 202
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年38号F款(财富节限定)
- CSFB6M25038F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25038F_00108018_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25038F_00108014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年封闭2024年7号A款
- CSFB1Y24007A
- 02
- 0
- 8
- 03
- 3.3%-3.9%
- 3.3%-3.9%
- 20240115
- 20240117
- 20240118
- 20250211
- 1900-01-01
- 390
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年封闭2024年7号A款
- CSFB1Y24007A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24007A_3_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24007A_7_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式144号A类份额
- YJ01250724A
- 02
- 1
- 1
- 03
- 1.9000%~2.1000%
- 1.9000%~2.1000%
- 20251030
- 20251105
- 20251106
- 20260325
- 1900-01-01
- 139
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式144号A类份额
- YJ01250724A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250724A_00116175_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年140号C款
- CSFB1Y24140C
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20241231
- 20250106
- 20250107
- 20260129
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年140号C款
- CSFB1Y24140C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24140C_00096016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24140C_00096009_6.pdf
- 0
- 1
- 代销渤银理财
- 财收21号B款三个月封闭
- CSYLFB3M24021B
- 02
- 0
- 8
- 03
- 2.6%-3.2%
- 2.6%-3.2%
- 20240304
- 20240311
- 20240312
- 20240620
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收21号B款三个月封闭
- CSYLFB3M24021B
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24021B_00040014_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24021B_00041002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式63号L类份额
- YJ01250263L
- 02
- 0
- 4
- 03
- 2.90%
- 2.90%
- 20250220
- 20250226
- 20250227
- 20260408
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式63号L类份额
- YJ01250263L
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250263L_00102052_6.pdf
- 0
- 1
- 代销北银理财
- “安盈”稳利5个月固定收益类理财产品
- PNHY250387A
- 02
- 0
- 4
- 03
- 2.15%-2.55%
- 2.15%-2.55%
- 20250903
- 20250909
- 20250910
- 20260203
- 1900-01-01
- 146
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利5个月固定收益类理财产品
- PNHY250387A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250387A_00113085_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250387A_00113081_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式121号A类份额
- YJ01250584A
- 02
- 0
- 4
- 03
- 2.50%
- 2.50%
- 20250724
- 20250729
- 20250730
- 20260204
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式121号A类份额
- YJ01250584A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250584A_00109128_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列卓远固收封闭式57号理财产品
- YJ01250257
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250418
- 20250423
- 20250424
- 20260122
- 1900-01-01
- 273
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式57号理财产品
- YJ01250257
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250257_00102147_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年44号C款
- CSYLFB3M24044C
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20240724
- 20240731
- 20240801
- 20241114
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年44号C款
- CSYLFB3M24044C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24044C_00072011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24044C_00072007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式255号A类份额
- YJ01250806A
- 02
- 0
- 4
- 03
- 2.60%
- 2.60%
- 20250925
- 20250928
- 20250929
- 20261209
- 1900-01-01
- 436
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式255号A类份额
- YJ01250806A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250806A_00115055_6.pdf
- 0
- 1
- 代销北银理财
- 春系列固收封闭式222号M类份额
- YJ01240745M
- 02
- 0
- 8
- 03
- 2.8500%~3.0500%
- 2.8500%~3.0500%
- 20240815
- 20240821
- 20240822
- 20250827
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式222号M类份额
- YJ01240745M
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240745M_00077013_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年36号C款
- CSYLFB3M24036C
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20240708
- 20240715
- 20240716
- 20241024
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年36号C款
- CSYLFB3M24036C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24036C_00067006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24036C_00067002_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式86号Z类份额
- YJ01250416Z
- 02
- 0
- 4
- 03
- 2.6000%~2.8000%
- 2.6000%~2.8000%
- 20250703
- 20250709
- 20250710
- 20260819
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式86号Z类份额
- YJ01250416Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250416Z_00109069_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年40号B款
- CSFB3Y25040B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250818
- 20250825
- 20250826
- 20280831
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年40号B款
- CSFB3Y25040B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25040B_00113052_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25040B_00113042_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财“安盈”日开1号净值型理财产品C
- PNHY210223C
- 02
- 1
- 0
- 03
- 详见说明书
- 详见说明书
- 20241128
- 20241128
- 20241129
- 20991231
- 1900-01-01
- 27425
- 01,02,03,04
- 开放净值
- 01,02
- 徽银理财“安盈”日开1号净值型理财产品C
- PNHY210223C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY210223C_00108034_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY210223C_00108030_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略一年2024年5号A款-渤银理财固收封闭理财
- CSFB1Y24005A
- 02
- 0
- 8
- 03
- 3.35%-3.95%
- 3.35%-3.95%
- 20240108
- 20240110
- 20240111
- 20250124
- 1900-01-01
- 379
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年5号A款-渤银理财固收封闭理财
- CSFB1Y24005A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24005A_4_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24005A_2_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年33号C款(财富节限定)
- CSFB3Y25033C
- 02
- 0
- 9
- 03
- 2.85%-3.45%
- 2.85%-3.45%
- 20250623
- 20250630
- 20250701
- 20280706
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年33号C款(财富节限定)
- CSFB3Y25033C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25033C_00108027_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25033C_00108014_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式173号A类份额
- YJ01250828A
- 02
- 0
- 4
- 03
- 2.1000%~2.3000%
- 2.1000%~2.3000%
- 20251023
- 20251029
- 20251030
- 20260513
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式173号A类份额
- YJ01250828A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250828A_00115145_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年86号D款
- CSFB1Y25086D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250908
- 20250915
- 20250916
- 20261014
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年86号D款
- CSFB1Y25086D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25086D_00112138_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25086D_00112134_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式72号A类份额
- YJ01250402A
- 02
- 0
- 4
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20250417
- 20250423
- 20250424
- 20260603
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式72号A类份额
- YJ01250402A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250402A_00101098_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2025年90号C款
- CSFB1Y25090C
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250922
- 20250926
- 20250929
- 20261022
- 1900-01-01
- 388
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年90号C款
- CSFB1Y25090C
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25090C_00116046_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25090C_00116042_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年44号E款
- CSFB6M24044E
- 02
- 0
- 8
- 03
- 2.6%-3.3%
- 2.6%-3.3%
- 20240701
- 20240708
- 20240709
- 20250116
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年44号E款
- CSFB6M24044E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24044E_00064031_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24044E_00064024_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年3号D款
- CSFB1Y25003D
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250113
- 20250120
- 20250121
- 20260205
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年3号D款
- CSFB1Y25003D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25003D_00099006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25003D_00099002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利恒盈封闭式2024年329期固收类理财产品
- 9N24329C
- 02
- 0
- 4
- 03
- 2.72%
- 2.72%
- 20240923
- 20240926
- 20240927
- 20251105
- 1900-01-01
- 404
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利恒盈封闭式2024年329期固收类理财产品
- 9N24329C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9N24329C_00078075_0.pdf
- /boimc/fileDir/resource/file/dxlc//9N24329C_00078071_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2024年16号D款
- CSFB1Y24016D
- 02
- 0
- 8
- 03
- 2.9%-3.7%
- 2.9%-3.7%
- 20240422
- 20240424
- 20240425
- 20250522
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年16号D款
- CSFB1Y24016D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24016D_00047065_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24016D_00047061_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年6号C款
- CSFB6M25006C
- 02
- 0
- 8
- 03
- 2.20%-2.60%
- 2.20%-2.60%
- 20250326
- 20250331
- 20250401
- 20251016
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年6号C款
- CSFB6M25006C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25006C_00101079_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25006C_00101076_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年48号C款
- CSFB1Y24048C
- 02
- 0
- 8
- 03
- 2.8%-3.5%
- 2.8%-3.5%
- 20240520
- 20240527
- 20240528
- 20250626
- 1900-01-01
- 394
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年48号C款
- CSFB1Y24048C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24048C_00053017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24048C_00055015_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年16号A款
- CSFB6M25016A
- 02
- 0
- 8
- 03
- 2.25%-2.75%
- 2.25%-2.75%
- 20250212
- 20250217
- 20250218
- 20250828
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年16号A款
- CSFB6M25016A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25016A_00102047_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25016A_00102043_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年37号E款
- CSFB9M25037E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250825
- 20250901
- 20250902
- 20260611
- 1900-01-01
- 282
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年37号E款
- CSFB9M25037E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25037E_00112069_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25037E_00112062_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年24号E款
- CSFB6M25024E
- 02
- 0
- 8
- 03
- 2.30%-2.70%
- 2.30%-2.70%
- 20250317
- 20250324
- 20250325
- 20251015
- 1900-01-01
- 204
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年24号E款
- CSFB6M25024E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25024E_00101063_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25024E_00101059_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年54号G款
- CSFB6M24054G
- 02
- 0
- 8
- 03
- 2.45%-3.05%
- 2.45%-3.05%
- 20240909
- 20240918
- 20240919
- 20250402
- 1900-01-01
- 195
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年54号G款
- CSFB6M24054G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24054G_00078060_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24054G_00078058_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列卓远固收封闭式101号理财产品
- YJ01250507
- 02
- 0
- 8
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250507
- 20250514
- 20250515
- 20250827
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式101号理财产品
- YJ01250507
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250507_00101114_6.pdf
- 0
- 1
- 代销北银理财
- 渤银理财财收有略九个月2025年14号D款
- CSFB9M25014D
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250611
- 20250618
- 20250619
- 20260326
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年14号D款
- CSFB9M25014D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25014D_00107006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25014D_00107002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2024年15号B款
- CSFB2Y24015B
- 02
- 0
- 9
- 03
- 2.4%-3.3%
- 2.4%-3.3%
- 20241213
- 20241218
- 20241219
- 20270106
- 1900-01-01
- 748
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2024年15号B款
- CSFB2Y24015B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24015B_00089024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y24015B_00089020_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略九个月2025年34号E款
- CSFB9M25034E
- 02
- 0
- 9
- 03
- 2.35%-2.85%
- 2.35%-2.85%
- 20250806
- 20250813
- 20250814
- 20260521
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年34号E款
- CSFB9M25034E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25034E_00112024_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25034E_00112017_6.pdf
- 0
- 1
- 代销渤银理财
- 财收30号C款一年封闭
- CSFB1Y24030C
- 02
- 0
- 8
- 03
- 2.95%-3.75%
- 2.95%-3.75%
- 20240306
- 20240311
- 20240312
- 20250402
- 1900-01-01
- 386
- 01,02,03,04
- 封闭净值
- 01,02
- 财收30号C款一年封闭
- CSFB1Y24030C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24030C_00040039_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24030C_00040035_6.pdf
- 0
- 1
- 代销渤银理财
- 财收16号B款三个月封闭
- CSYLFB3M24016B
- 02
- 0
- 8
- 03
- 2.7%-3.2%
- 2.7%-3.2%
- 20240208
- 20240219
- 20240220
- 20240530
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收16号B款三个月封闭
- CSYLFB3M24016B
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24016B_00033016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24016B_00033014_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250348B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250821
- 20250827
- 20250828
- 20260902
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250348B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250348B_00112057_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250348B_00112050_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略二年2025年23号B款
- CSFB2Y25023B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250512
- 20250519
- 20250520
- 20270603
- 1900-01-01
- 744
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年23号B款
- CSFB2Y25023B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25023B_00101132_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25023B_00101119_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年39号C款
- CSYLFB3M24039C
- 02
- 0
- 8
- 03
- 2.25%-2.85%
- 2.25%-2.85%
- 20240805
- 20240812
- 20240813
- 20241121
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年39号C款
- CSYLFB3M24039C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24039C_00076006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24039C_00076002_6.pdf
- 0
- 1
- 代销渤银理财
- (春节专属)财收有略六个月2025年13号A款
- CSFB6M25013A
- 02
- 0
- 8
- 03
- 2.40%-2.90%
- 2.40%-2.90%
- 20250123
- 20250205
- 20250206
- 20250814
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- (春节专属)财收有略六个月2025年13号A款
- CSFB6M25013A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25013A_00102037_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25013A_00102033_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年69号D款
- CSFB6M24069D
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20241104
- 20241111
- 20241112
- 20250522
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年69号D款
- CSFB6M24069D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24069D_00080081_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24069D_00080077_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式123号A类份额
- YJ01250586A
- 02
- 0
- 4
- 03
- 2.45%
- 2.45%
- 20250807
- 20250813
- 20250814
- 20260226
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式123号A类份额
- YJ01250586A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250586A_00113002_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式151号Q类份额
- YJ01250602Q
- 02
- 0
- 4
- 03
- 2.30%
- 2.30%
- 20250724
- 20250729
- 20250730
- 20251126
- 1900-01-01
- 119
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式151号Q类份额
- YJ01250602Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250602Q_00109128_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式140号Q类份额
- YJ01250720Q
- 02
- 0
- 4
- 03
- 2.40%
- 2.40%
- 20250904
- 20250910
- 20250911
- 20260121
- 1900-01-01
- 132
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式140号Q类份额
- YJ01250720Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250720Q_00112116_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年36号C款(财富节限定)
- CSFB3Y25036C
- 02
- 0
- 9
- 03
- 2.85%-3.45%
- 2.85%-3.45%
- 20250707
- 20250714
- 20250715
- 20280720
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年36号C款(财富节限定)
- CSFB3Y25036C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25036C_00108101_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25036C_00108091_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年31号C款
- CSFB3Y25031C
- 02
- 0
- 9
- 03
- 2.85%-3.45%
- 2.85%-3.45%
- 20250616
- 20250623
- 20250624
- 20280629
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年31号C款
- CSFB3Y25031C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25031C_00109009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25031C_00109002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年19号D款
- CSFB1Y25019D
- 02
- 0
- 9
- 03
- 2.3%-3.1%
- 2.3%-3.1%
- 20250421
- 20250428
- 20250429
- 20260528
- 1900-01-01
- 394
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年19号D款
- CSFB1Y25019D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25019D_00102161_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25019D_00102151_6.pdf
- 0
- 1
- 代销渤银理财
- 徽银理财安盈稳利固收封闭式1年
- PNHY250381B
- 02
- 0
- 4
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250911
- 20250917
- 20250918
- 20260922
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利固收封闭式1年
- PNHY250381B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250381B_00116010_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250381B_00116006_6.pdf
- 0
- 1
- 代销徽银理财
- 渤银理财财收有略九个月2025年19号C款
- CSFB9M25019C
- 02
- 0
- 9
- 03
- 2.50%-3.00%
- 2.50%-3.00%
- 20250623
- 20250626
- 20250627
- 20260416
- 1900-01-01
- 293
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年19号C款
- CSFB9M25019C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25019C_00108021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25019C_00108014_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年28号B款
- CSFB2Y25028B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250526
- 20250604
- 20250605
- 20270617
- 1900-01-01
- 742
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年28号B款
- CSFB2Y25028B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25028B_00106032_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25028B_00106029_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年32号D款
- CSFB1Y24032D
- 02
- 0
- 8
- 03
- 2.95%-3.85%
- 2.95%-3.85%
- 20240320
- 20240325
- 20240326
- 20250417
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年32号D款
- CSFB1Y24032D
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24032D_00044026_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24032D_00044022_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年5号A款
- CSFB6M25005A
- 02
- 0
- 8
- 03
- 2.30%-2.80%
- 2.30%-2.80%
- 20250120
- 20250122
- 20250123
- 20250807
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年5号A款
- CSFB6M25005A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25005A_00102030_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25005A_00102023_6.pdf
- 0
- 1
- 代销渤银理财
- 北银理财京华远见春系列易淘金3号B类份额
- TG01231017B
- 01
- 1
- 0
- 03
- 100.00%
- 100.00%
- 20240229
- 20240229
- 20240301
- 20991231
- 1900-01-01
- 27698
- 01,02,03,04
- 货币净值
- 01,02
- 北银理财京华远见春系列易淘金3号B类份额
- TG01231017B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01231017B_00102133_6.pdf
- 0
- 1
- 代销北银理财
- 邮银财富·鸿运灵活日开4号A
- 2401UO004A
- 02
- 1
- 0
- 03
- 2.00%~3.50%
- 2.00%~3.50%
- 20240308
- 20240313
- 20240314
- 20440314
- 1900-01-01
- 7305
- 01,02,03,04
- 开放净值
- 01,02
- 邮银财富·鸿运灵活日开4号A
- 2401UO004A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 1
- 1
- 代销中邮理财
- 北银理财京华远见春系列卓远固收封闭式93号理财产品
- YJ01250519
- 02
- 0
- 4
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250515
- 20250521
- 20250522
- 20251126
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式93号理财产品
- YJ01250519
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250519_00105002_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利安盈封闭式2024年312期固收类理财产品
- 9A24312C
- 01
- 0
- 4
- 03
- 2.1%-2.3%
- 2.1%-2.3%
- 20240925
- 20241009
- 20241010
- 20250122
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年312期固收类理财产品
- 9A24312C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24312C_00078084_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24312C_00078076_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略六个月2025年29号A款
- CSFB6M25029A
- 02
- 0
- 8
- 03
- 2.20%-2.60%
- 2.20%-2.60%
- 20250303
- 20250310
- 20250311
- 20250918
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年29号A款
- CSFB6M25029A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25029A_00102057_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25029A_00102053_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年23号C款
- CSYLFB3M24023C
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240318
- 20240325
- 20240326
- 20240704
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年23号C款
- CSYLFB3M24023C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24023C_00044011_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24023C_00044007_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈增利90天最短持有期固收3号理财产品C
- LCYS90CYZ03C
- 02
- 1
- 0
- 03
- 1.55%-2.55%
- 1.55%-2.55%
- 20250818
- 20250820
- 20250821
- 99991231
- 1900-01-01
- 2912575
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利90天最短持有期固收3号理财产品C
- LCYS90CYZ03C
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS90CYZ03C_00113057_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS90CYZ03C_00113053_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年18号A款
- CSFB3Y25018A
- 02
- 0
- 9
- 03
- 2.70%-3.30%
- 2.70%-3.30%
- 20250310
- 20250317
- 20250318
- 20280406
- 1900-01-01
- 1115
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年18号A款
- CSFB3Y25018A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25018A_00102093_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25018A_00102083_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年34号B款
- CSFB1Y25034B
- 02
- 0
- 9
- 03
- 2.25%-3.05%
- 2.25%-3.05%
- 20250428
- 20250507
- 20250508
- 20260604
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年34号B款
- CSFB1Y25034B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25034B_00102184_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25034B_00102174_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财财收有略六个月2025年92号C款
- CSFB6M25092C
- 02
- 0
- 9
- 03
- 2.2%-2.5%
- 2.2%-2.5%
- 20251015
- 20251022
- 20251023
- 20260507
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年92号C款
- CSFB6M25092C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25092C_00116082_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25092C_00116080_6.pdf
- 0
- 1
- 代销渤银理财
- 财收13号D款六个月封闭
- CSFB6M24013D
- 02
- 0
- 8
- 03
- 2.85%-3.3%
- 2.85%-3.3%
- 20240301
- 20240305
- 20240306
- 20240910
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 财收13号D款六个月封闭
- CSFB6M24013D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24013D_00040006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24013D_00040002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略二年2025年34号B款
- CSFB2Y25034B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20251020
- 20251027
- 20251028
- 20271111
- 1900-01-01
- 744
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年34号B款
- CSFB2Y25034B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25034B_00116099_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25034B_00116092_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年81号D款
- CSFB1Y25081D
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250811
- 20250818
- 20250819
- 20260903
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年81号D款
- CSFB1Y25081D
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25081D_00113021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25081D_00113017_6.pdf
- 0
- 1
- 代销渤银理财
- 渤银理财银储有道系列添金盈现金管理理财2号
- YCYDXJ022
- 01
- 1
- 0
- 03
- 中国人民银行公布的七天通知存款利率
- 中国人民银行公布的七天通知存款利率
- 20231025
- 20231025
- 20231026
- 20991230
- 1900-01-01
- 27824
- 01,02,03,04
- 货币净值
- 01,02
- 渤银理财银储有道系列添金盈现金管理理财2号
- YCYDXJ022
- 0.01
- 0
- /boimc/fileDir/resource/file/dxlc//YCYDXJ022_00096005_0.pdf
- /boimc/fileDir/resource/file/dxlc//YCYDXJ022_00054007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式52号A类份额
- YJ01250252A
- 02
- 0
- 8
- 03
- 2.3000%~2.5000%
- 2.3000%~2.5000%
- 20250320
- 20250327
- 20250328
- 20251010
- 1900-01-01
- 196
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式52号A类份额
- YJ01250252A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250252A_00101072_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略二年2025年39号B款
- CSFB2Y25039B
- 02
- 0
- 9
- 03
- 2.60%-3.20%
- 2.60%-3.20%
- 20250915
- 20250922
- 20250923
- 20271013
- 1900-01-01
- 750
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年39号B款
- CSFB2Y25039B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25039B_00116023_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25039B_00116015_6.pdf
- 0
- 1
- 代销渤银理财
- “安盈”稳益最低持有14天理财产品2号
- PNHY250279A
- 02
- 1
- 0
- 03
- 详见说明书(新品发售)
- 详见说明书(新品发售)
- 20250702
- 20250702
- 20250703
- 20991231
- 1900-01-01
- 27209
- 01,02,03,04
- 开放净值
- 01,02
- “安盈”稳益最低持有14天理财产品2号
- PNHY250279A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250279A_00113065_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250279A_00113061_6.pdf
- 0
- 1
- 代销徽银理财
- 财收有略六个月2024年24号D款
- CSFB6M24024D
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240513
- 20240520
- 20240521
- 20241126
- 1900-01-01
- 189
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年24号D款
- CSFB6M24024D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24024D_00050021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24024D_00054004_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三年2025年39号B款
- CSFB3Y25039B
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250721
- 20250728
- 20250729
- 20280803
- 1900-01-01
- 1101
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年39号B款
- CSFB3Y25039B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25039B_00109115_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25039B_00109105_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式141号A类份额
- YJ01250721A
- 02
- 0
- 4
- 03
- 1.9000%~2.1000%
- 1.9000%~2.1000%
- 20251011
- 20251015
- 20251016
- 20260304
- 1900-01-01
- 139
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式141号A类份额
- YJ01250721A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250721A_00115114_6.pdf
- 0
- 1
- 代销北银理财
- 北银理财京华远见春系列卓远固收封闭式94号理财产品
- YJ01250520
- 02
- 0
- 4
- 03
- 2.4500%~2.6500%
- 2.4500%~2.6500%
- 20250515
- 20250521
- 20250522
- 20260226
- 1900-01-01
- 280
- 01,02,03,04
- 封闭净值
- 01,02
- 北银理财京华远见春系列卓远固收封闭式94号理财产品
- YJ01250520
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250520_00105002_6.pdf
- 0
- 1
- 代销北银理财
- 喜盈180天周期开放固收9号-渤银理财理财有术系列C
- LZKGG00009C
- 02
- 1
- 0
- 03
- 1.60%-3.40
- 1.60%-3.40
- 20220607
- 20220608
- 20240904
- 20991231
- 1900-01-01
- 27511
- 01,02,03,04
- 客户周期净值
- 01,02
- 喜盈180天周期开放固收9号-渤银理财理财有术系列C
- LZKGG00009C
- 10000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LZKGG00009C_00102018_0.pdf
- /boimc/fileDir/resource/file/dxlc//LZKGG00009C_00102022_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年24号B款
- CSYLFB3M24024B
- 02
- 0
- 8
- 03
- 2.65%-3.25%
- 2.65%-3.25%
- 20240325
- 20240401
- 20240402
- 20240711
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年24号B款
- CSYLFB3M24024B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24024B_00045006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24024B_00045002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年47号C款
- CSYLFB3M24047C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240902
- 20240909
- 20240910
- 20241219
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年47号C款
- CSYLFB3M24047C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24047C_00078039_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24047C_00078035_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年90号E款
- CSFB6M24090E
- 02
- 0
- 8
- 03
- 2.20%-2.80%
- 2.20%-2.80%
- 20241231
- 20250106
- 20250107
- 20250717
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年90号E款
- CSFB6M24090E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24090E_00096013_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24090E_00096009_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年2号A款-渤银理财固收封闭理财
- CSFB6M24002A
- 02
- 0
- 8
- 03
- 3.15%-3.45%
- 3.15%-3.45%
- 20240108
- 20240115
- 20240116
- 20240718
- 1900-01-01
- 184
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年2号A款-渤银理财固收封闭理财
- CSFB6M24002A
- 200000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24002A_2_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24002A_4_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列天天金34号B类份额
- TG01250461B
- 01
- 1
- 0
- 03
- 0
- 0
- 20250605
- 20250605
- 20250606
- 20991231
- 1900-01-01
- 27236
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金34号B类份额
- TG01250461B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01250461B_00115018_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳利安盈封闭式2025年451期固收类理财产品
- 9A25451D
- 01
- 0
- 4
- 03
- 1.95%-2.25%
- 1.95%-2.25%
- 20250305
- 20250312
- 20250313
- 20250625
- 1900-01-01
- 104
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2025年451期固收类理财产品
- 9A25451D
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A25451D_00102069_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A25451D_00102066_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略三个月2024年50号C款
- CSYLFB3M24050C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240819
- 20240826
- 20240827
- 20241205
- 1900-01-01
- 100
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年50号C款
- CSYLFB3M24050C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24050C_00077021_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24050C_00077018_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年116号F款
- CSFB1Y24116F
- 02
- 0
- 9
- 03
- 2.45%-3.25%
- 2.45%-3.25%
- 20241118
- 20241125
- 20241126
- 20251218
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年116号F款
- CSFB1Y24116F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24116F_00084009_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24116F_00084002_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财稳利安盈封闭式2024年315期固收类理财产品
- 9A24315B
- 01
- 0
- 4
- 03
- 2.2%-2.5%
- 2.2%-2.5%
- 20241016
- 20241023
- 20241024
- 20250122
- 1900-01-01
- 90
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财稳利安盈封闭式2024年315期固收类理财产品
- 9A24315B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A24315B_00080038_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A24315B_00080034_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年31号
- CSFB1Y25031
- 02
- 0
- 9
- 03
- 2.50%-2.90%
- 2.50%-2.90%
- 20250507
- 20250512
- 20250513
- 20260604
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年31号
- CSFB1Y25031
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25031_00102234_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25031_00102224_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2025年12号E款
- CSYLFB3M25012E
- 02
- 1
- 1
- 03
- 2.20%-2.50%
- 2.20%-2.50%
- 20251027
- 20251103
- 20251104
- 20260211
- 1900-01-01
- 99
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2025年12号E款
- CSYLFB3M25012E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M25012E_00116155_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M25012E_00116142_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列固收封闭式202号A类份额
- YJ01240725A
- 02
- 0
- 8
- 03
- 2.5000%~2.7000%
- 2.5000%~2.7000%
- 20240815
- 20240821
- 20240822
- 20241211
- 1900-01-01
- 111
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列固收封闭式202号A类份额
- YJ01240725A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240725A_00077013_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财丰利合享封闭式82号固收类理财产品
- 9K24382C
- 02
- 0
- 4
- 03
- 2.6%-2.8%
- 2.6%-2.8%
- 20240814
- 20240820
- 20240821
- 20251021
- 1900-01-01
- 426
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式82号固收类理财产品
- 9K24382C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24382C_00076035_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24382C_00076027_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列诚享7天持有期21号B类份额(北京专属)
- YJ01241101B
- 02
- 1
- 0
- 03
- 2.1500%~3.1500%
- 2.1500%~3.1500%
- 20241210
- 20241217
- 20241218
- 20991231
- 1900-01-01
- 27406
- 01,02,03,04
- 开放净值
- 01,02
- 春系列诚享7天持有期21号B类份额(北京专属)
- YJ01241101B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241101B_00101055_6.pdf
- 0
- 1
- 代销北银理财
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- 02
- 0
- 4
- 03
- 2.85%-3.05%
- 2.85%-3.05%
- 20240910
- 20240918
- 20240919
- 20261120
- 1900-01-01
- 792
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式89号固收类理财产品
- 9K24389C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24389C_00079035_0.pdf
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- 0
- 1
- 代销兴银理财
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- CSFB2Y25031C
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250707
- 20250714
- 20250715
- 20270722
- 1900-01-01
- 737
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略二年2025年31号C款(财富节限定)
- CSFB2Y25031C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25031C_00108098_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB2Y25031C_00108091_6.pdf
- 0
- 1
- 代销渤银理财
- 理财有术持盈增利60天最短持有期固收1号理财产品B
- LCYS60CYZ01B
- 02
- 1
- 0
- 03
- 中国人民银行公布的活期存款利率×29% +中债-综合财富(1年...
- 中国人民银行公布的活期存款利率×29% +中债-综合财富(1年...
- 20250214
- 20250218
- 20250318
- 99991231
- 1900-01-01
- 2912731
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈增利60天最短持有期固收1号理财产品B
- LCYS60CYZ01B
- 400000.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS60CYZ01B_00116174_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS60CYZ01B_00102095_6.pdf
- 0
- 1
- 代销渤银理财
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- CSFB9M25032E
- 02
- 0
- 9
- 03
- 2.35%-2.75%
- 2.35%-2.75%
- 20250820
- 20250825
- 20250826
- 20260604
- 1900-01-01
- 282
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略九个月2025年32号E款
- CSFB9M25032E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB9M25032E_00112048_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB9M25032E_00112041_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年122号F款(钻石客户专享)
- CSFB1Y24122F
- 02
- 0
- 9
- 03
- 2.60%-3.30%
- 2.60%-3.30%
- 20241223
- 20241226
- 20241227
- 20260122
- 1900-01-01
- 391
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年122号F款(钻石客户专享)
- CSFB1Y24122F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24122F_00093006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24122F_00093002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年62号C款
- CSFB1Y24062C
- 02
- 0
- 8
- 03
- 3.05%-3.75%
- 3.05%-3.75%
- 20240617
- 20240624
- 20240625
- 20250715
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年62号C款
- CSFB1Y24062C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24062C_00062006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24062C_00062002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年34号C款
- CSYLFB3M24034C
- 02
- 0
- 8
- 03
- 2.5%-3.1%
- 2.5%-3.1%
- 20240701
- 20240708
- 20240709
- 20241022
- 1900-01-01
- 105
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年34号C款
- CSYLFB3M24034C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24034C_00064023_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24034C_00064019_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年32号A款
- CSFB6M25032A
- 02
- 0
- 8
- 03
- 2.20%-2.60%
- 2.20%-2.60%
- 20250310
- 20250317
- 20250318
- 20250925
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年32号A款
- CSFB6M25032A
- 100000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25032A_00102087_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25032A_00102083_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利悦动稳享封闭式151号固收类理财产品
- 9A27151B
- 02
- 0
- 4
- 03
- 2.8%-3%
- 2.8%-3%
- 20240927
- 20241009
- 20241010
- 20251028
- 1900-01-01
- 383
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利悦动稳享封闭式151号固收类理财产品
- 9A27151B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9A27151B_00081006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9A27151B_00081002_6.pdf
- 0
- 1
- 代销兴银理财
- (1年3.0%止盈)“智盈”添金目标盈26号理财产品
- PNHY250437
- 02
- 0
- 4
- 03
- 2.40%-3.40%
- 2.40%-3.40%
- 20251010
- 20251015
- 20251016
- 20270318
- 1900-01-01
- 518
- 01,02,03,04
- 封闭净值
- 01,02
- (1年3.0%止盈)“智盈”添金目标盈26号理财产品
- PNHY250437
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250437_00115110_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250437_00115111_6.pdf
- 0
- 1
- 代销徽银理财
- 春系列卓远固收封闭式129号A类份额
- YJ01250592A
- 02
- 0
- 4
- 03
- 2.20%
- 2.20%
- 20250925
- 20250928
- 20250929
- 20260415
- 1900-01-01
- 198
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式129号A类份额
- YJ01250592A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250592A_00115055_6.pdf
- 0
- 1
- 代销北银理财
- 工银理财鑫添益最短持有180天1号
- 24G2918H
- 02
- 1
- 0
- 03
- 2.3%-3.5%
- 2.3%-3.5%
- 20241016
- 20241022
- 20241023
- 99991231
- 1900-01-01
- 2912877
- 01,02,03,04
- 开放净值
- 01,02
- 工银理财鑫添益最短持有180天1号
- 24G2918H
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//24G2918H_00096003_0.pdf
- /boimc/fileDir/resource/file/dxlc//24G2918H_00096004_6.pdf
- 0
- 1
- 代销工银理财
- 财收有略一年2025年32号E款
- CSFB1Y25032E
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20250331
- 20250407
- 20250408
- 20260423
- 1900-01-01
- 380
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年32号E款
- CSFB1Y25032E
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25032E_00102120_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年9号F款
- CSFB6M25009F
- 02
- 0
- 9
- 03
- 2.00%-2.40%
- 2.00%-2.40%
- 20250512
- 20250519
- 20250520
- 20251127
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年9号F款
- CSFB6M25009F
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25009F_00101123_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25009F_00101119_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年32号B款
- CSYLFB3M24032B
- 02
- 0
- 8
- 03
- 2.8%-3.4%
- 2.8%-3.4%
- 20240527
- 20240603
- 20240604
- 20240926
- 1900-01-01
- 114
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年32号B款
- CSYLFB3M24032B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24032B_00056016_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24032B_00056012_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年52号
- CSFB1Y25052
- 02
- 0
- 9
- 03
- 2.55%-2.85%
- 2.55%-2.85%
- 20250528
- 20250604
- 20250605
- 20260702
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年52号
- CSFB1Y25052
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25052_00106056_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25052_00106045_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2024年92号B款
- CSFB6M24092B
- 02
- 0
- 8
- 03
- 2.35%-2.95%
- 2.35%-2.95%
- 20241211
- 20241216
- 20241217
- 20250625
- 1900-01-01
- 190
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2024年92号B款
- CSFB6M24092B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M24092B_00089017_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M24092B_00089013_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2025年65号C款(财富节限定)
- CSFB1Y25065C
- 02
- 0
- 9
- 03
- 2.70%-3.00%
- 2.70%-3.00%
- 20250625
- 20250702
- 20250703
- 20260723
- 1900-01-01
- 385
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年65号C款(财富节限定)
- CSFB1Y25065C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25065C_00108051_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25065C_00108047_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略一年2024年49号B款
- CSFB1Y24049B
- 02
- 0
- 8
- 03
- 3.1%-3.8%
- 3.1%-3.8%
- 20240603
- 20240611
- 20240612
- 20250710
- 1900-01-01
- 393
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年49号B款
- CSFB1Y24049B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24049B_00057012_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24049B_00057008_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略六个月2025年33号G款
- CSFB6M25033G
- 02
- 0
- 9
- 03
- 2.05%-2.45%
- 2.05%-2.45%
- 20250421
- 20250428
- 20250429
- 20251106
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略六个月2025年33号G款
- CSFB6M25033G
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25033G_00102155_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25033G_00102151_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式68号固收类理财产品
- 9K24368C
- 02
- 0
- 4
- 03
- 2.65%-2.85%
- 2.65%-2.85%
- 20240731
- 20240806
- 20240807
- 20251009
- 1900-01-01
- 428
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式68号固收类理财产品
- 9K24368C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24368C_00074019_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24368C_00074015_6.pdf
- 0
- 1
- 代销兴银理财
- 财收有略一年2025年17号C款
- CSFB1Y25017C
- 02
- 0
- 9
- 03
- 2.35%-3.15%
- 2.35%-3.15%
- 20250326
- 20250331
- 20250401
- 20260423
- 1900-01-01
- 387
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2025年17号C款
- CSFB1Y25017C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25017C_00101082_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y25017C_00101076_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式109号Z类份额
- YJ01250515Z
- 02
- 0
- 4
- 03
- 2.50%
- 2.50%
- 20250717
- 20250723
- 20250724
- 20260128
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式109号Z类份额
- YJ01250515Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250515Z_00108127_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三个月2024年42号C款
- CSYLFB3M24042C
- 02
- 0
- 8
- 03
- 2.4%-3.0%
- 2.4%-3.0%
- 20240801
- 20240805
- 20240806
- 20241121
- 1900-01-01
- 107
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年42号C款
- CSYLFB3M24042C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24042C_00074006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24042C_00074002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年38号D款
- CSYLFB3M24038D
- 02
- 0
- 8
- 03
- 2.3%-2.9%
- 2.3%-2.9%
- 20240716
- 20240723
- 20240724
- 20241120
- 1900-01-01
- 119
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年38号D款
- CSYLFB3M24038D
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24038D_00069006_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24038D_00069002_6.pdf
- 0
- 1
- 代销渤银理财
- 财收有略三个月2024年55号C款
- CSYLFB3M24055C
- 02
- 0
- 8
- 03
- 2.15%-2.75%
- 2.15%-2.75%
- 20240909
- 20240918
- 20240919
- 20241226
- 1900-01-01
- 98
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三个月2024年55号C款
- CSYLFB3M24055C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24055C_00078063_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSYLFB3M24055C_00078065_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式116号R类份额
- YJ01250579R
- 02
- 0
- 8
- 03
- 2.5500%~2.7500%
- 2.5500%~2.7500%
- 20250619
- 20250626
- 20250627
- 20251022
- 1900-01-01
- 117
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式116号R类份额
- YJ01250579R
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250579R_00109029_6.pdf
- 0
- 1
- 代销北银理财
- 兴银理财稳添利月盈59号(1个月最短持有期)日开固收类理财产品
- 9K43059C
- 02
- 1
- 0
- 03
- 2%-3.75%
- 2%-3.75%
- 20250623
- 20250624
- 20250625
- 20991230
- 1900-01-01
- 27216
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财稳添利月盈59号(1个月最短持有期)日开固收类理财产品
- 9K43059C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K43059C_00112133_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K43059C_00112125_6.pdf
- 0
- 1
- 代销兴银理财
- 春系列卓远固收封闭式253号A类份额
- YJ01250804A
- 02
- 0
- 4
- 03
- 2.70%
- 2.70%
- 20250911
- 20250917
- 20250918
- 20261125
- 1900-01-01
- 433
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式253号A类份额
- YJ01250804A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250804A_00116002_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式119号Z类份额
- YJ01250582Z
- 02
- 0
- 4
- 03
- 2.4000%~2.6000%
- 2.4000%~2.6000%
- 20250710
- 20250716
- 20250717
- 20251112
- 1900-01-01
- 118
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式119号Z类份额
- YJ01250582Z
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250582Z_00109080_6.pdf
- 0
- 1
- 代销北银理财
- 春系列天天金6号B类份额
- TG01240106B
- 01
- 1
- 0
- 03
- 0
- 0
- 20240808
- 20240808
- 20240809
- 20991231
- 1900-01-01
- 27537
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金6号B类份额
- TG01240106B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01240106B_00081035_6.pdf
- 0
- 1
- 代销北银理财
- 恒利·鸿运最短持有7天2号A
- 2401HK002A
- 01
- 1
- 0
- 03
- 2.10%~3.10%
- 2.10%~3.10%
- 20240829
- 20240904
- 20240905
- 20991231
- 1900-01-01
- 27510
- 01,02,03,04
- 开放净值
- 01,02
- 恒利·鸿运最短持有7天2号A
- 2401HK002A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//
- 1
- 1
- 代销中邮理财
- 财收有略三年2025年47号B款
- CSFB3Y25047B
- 02
- 0
- 9
- 03
- 2.75%-3.35%
- 2.75%-3.35%
- 20250926
- 20251009
- 20251010
- 20281019
- 1900-01-01
- 1105
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年47号B款
- CSFB3Y25047B
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25047B_00115065_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25047B_00115058_6.pdf
- 0
- 1
- 代销渤银理财
- “安盈”稳利4个月固定收益类理财产品
- PNHY250401A
- 02
- 0
- 4
- 03
- 2.05%-2.45%
- 2.05%-2.45%
- 20250917
- 20250923
- 20250924
- 20260122
- 1900-01-01
- 120
- 01,02,03,04
- 封闭净值
- 01,02
- “安盈”稳利4个月固定收益类理财产品
- PNHY250401A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250401A_00116041_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250401A_00116037_6.pdf
- 0
- 1
- 代销徽银理财
- 京华远见春系列固收封闭式200号A类份额
- YJ01240720A
- 02
- 0
- 8
- 03
- 2.9000%~3.1000%
- 2.9000%~3.1000%
- 20240731
- 20240807
- 20240808
- 20250813
- 1900-01-01
- 370
- 01,02,03,04
- 封闭净值
- 01,02
- 京华远见春系列固收封闭式200号A类份额
- YJ01240720A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01240720A_00074012_6.pdf
- 0
- 1
- 代销北银理财
- 徽银理财安盈稳利1年固收封闭
- PNHY250290B
- 02
- 0
- 4
- 03
- 2.65%-2.95%
- 2.65%-2.95%
- 20250717
- 20250723
- 20250724
- 20260728
- 1900-01-01
- 369
- 01,02,03,04
- 封闭净值
- 01,02
- 徽银理财安盈稳利1年固收封闭
- PNHY250290B
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//PNHY250290B_00108136_0.pdf
- /boimc/fileDir/resource/file/dxlc//PNHY250290B_00108132_6.pdf
- 0
- 1
- 代销徽银理财
- 兴银理财稳添利ESG周盈208号C
- 9E10208C
- 02
- 1
- 0
- 03
- 1.95%-3.75%
- 1.95%-3.75%
- 20241210
- 20241211
- 20241212
- 20991230
- 1900-01-01
- 27411
- 01,02,03,04
- 开放净值
- 01,02
- 兴银理财稳添利ESG周盈208号C
- 9E10208C
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9E10208C_00101030_0.pdf
- /boimc/fileDir/resource/file/dxlc//9E10208C_00101021_6.pdf
- 0
- 1
- 代销兴银理财
- 理财有术持盈180天最短持有期固收1号理财产品C
- LCYS180CY001C
- 02
- 1
- 0
- 03
- 1.70%-3.10%
- 1.70%-3.10%
- 20241111
- 20241113
- 20241114
- 99991231
- 1900-01-01
- 2912855
- 01,02,03,04
- 开放净值
- 01,02
- 理财有术持盈180天最短持有期固收1号理财产品C
- LCYS180CY001C
- 100.00
- 0
- /boimc/fileDir/resource/file/dxlc//LCYS180CY001C_00082015_0.pdf
- /boimc/fileDir/resource/file/dxlc//LCYS180CY001C_00082007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列天天金31号A类份额
- TG01250403A
- 01
- 1
- 0
- 03
- 0
- 0
- 20250409
- 20250410
- 20250411
- 20991231
- 1900-01-01
- 27292
- 01,02,03,04
- 开放净值
- 01,02
- 春系列天天金31号A类份额
- TG01250403A
- 380000.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//TG01250403A_00113066_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略三年2025年24号A款
- CSFB3Y25024A
- 02
- 0
- 9
- 03
- 2.7%-3.3%
- 2.7%-3.3%
- 20250414
- 20250421
- 20250422
- 20280518
- 1900-01-01
- 1122
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略三年2025年24号A款
- CSFB3Y25024A
- 20000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25024A_00102146_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB3Y25024A_00102136_6.pdf
- 0
- 1
- 代销渤银理财
- 兴银理财丰利合享封闭式62号固收类理财产品
- 9K24362A
- 02
- 0
- 4
- 03
- 3%-3.2%
- 3%-3.2%
- 20240626
- 20240702
- 20240703
- 20250807
- 1900-01-01
- 400
- 01,02,03,04
- 封闭净值
- 01,02
- 兴银理财丰利合享封闭式62号固收类理财产品
- 9K24362A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//9K24362A_00065006_0.pdf
- /boimc/fileDir/resource/file/dxlc//9K24362A_00065002_6.pdf
- 0
- 1
- 代销兴银理财
- 渤银理财财收有略六个月2025年78号C款
- CSFB6M25078C
- 02
- 0
- 9
- 03
- 2.30%-2.60%
- 2.30%-2.60%
- 20250825
- 20250901
- 20250902
- 20260312
- 1900-01-01
- 191
- 01,02,03,04
- 封闭净值
- 01,02
- 渤银理财财收有略六个月2025年78号C款
- CSFB6M25078C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB6M25078C_00112066_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB6M25078C_00112062_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式189号A类份额
- YJ01250844A
- 02
- 0
- 4
- 03
- 2.3500%~2.5500%
- 2.3500%~2.5500%
- 20251016
- 20251022
- 20251023
- 20261202
- 1900-01-01
- 405
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式189号A类份额
- YJ01250844A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250844A_00116088_6.pdf
- 0
- 1
- 代销北银理财
- 财收有略一年2024年67号C款
- CSFB1Y24067C
- 02
- 0
- 8
- 03
- 2.85%-3.55%
- 2.85%-3.55%
- 20240724
- 20240731
- 20240801
- 20250828
- 1900-01-01
- 392
- 01,02,03,04
- 封闭净值
- 01,02
- 财收有略一年2024年67号C款
- CSFB1Y24067C
- 10000000.00
- 0
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24067C_00072014_0.pdf
- /boimc/fileDir/resource/file/dxlc//CSFB1Y24067C_00072007_6.pdf
- 0
- 1
- 代销渤银理财
- 春系列卓远固收封闭式45号A类份额
- YJ01241208A
- 02
- 0
- 8
- 03
- 2.45%
- 2.45%
- 20250124
- 20250205
- 20250206
- 20250813
- 1900-01-01
- 188
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式45号A类份额
- YJ01241208A
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01241208A_00101005_6.pdf
- 0
- 1
- 代销北银理财
- 春系列卓远固收封闭式137号Q类份额
- YJ01250717Q
- 02
- 0
- 4
- 03
- 2.05%
- 2.05%
- 20250918
- 20250924
- 20250925
- 20260204
- 1900-01-01
- 132
- 01,02,03,04
- 封闭净值
- 01,02
- 春系列卓远固收封闭式137号Q类份额
- YJ01250717Q
- 0.00
- 0
- /boimc/fileDir/resource/file/dxlc//
- /boimc/fileDir/resource/file/dxlc//YJ01250717Q_00115019_6.pdf
- 0
- 1
- 代销北银理财

 蒙公安备150105200404号
 蒙公安备150105200404号
           
               
              