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兴业银行“天天万利宝-稳盈”开放式人民币理财产品(9M) 定期报告(2018.01.01--2018.03.31)

产品基本信息:

产品代码 产品名称 起息日 到期日 期限(天) 产品类型 产品规模(元)
9K817103 兴业银行“天天万利宝-稳盈”开放式人民币理财产品(9M) 2017-05-26 2027-05-26 3652 非保本浮动收益 12,657,162,000.00

报告期间产品收益及产品规模表现如下表所示:

序号 起始日 结束日 客户理财参考年化净收益率
12018-01-012018-01-075.0500%
22018-01-082018-03-315.0000%

报告期间客户申购赎回情况如下表所示:

序号 申购赎回确认日 客户申购金额(元) 客户赎回金额(元) 产品余额(元)
12018-01-023,664,000.000.0014,102,218,000.00
22018-01-0316,589,000.000.0014,118,807,000.00
32018-01-0410,591,000.000.0014,129,398,000.00
42018-01-0514,981,000.000.0014,144,379,000.00
52018-01-0810,534,000.000.0014,154,913,000.00
62018-01-0919,642,000.000.0014,174,555,000.00
72018-01-1015,151,000.000.0014,189,706,000.00
82018-01-115,952,000.000.0014,195,658,000.00
92018-01-127,702,000.000.0014,203,360,000.00
102018-01-155,221,000.000.0014,208,581,000.00
112018-01-1617,860,000.000.0014,226,441,000.00
122018-01-1712,948,000.000.0014,239,389,000.00
132018-01-1811,462,000.000.0014,250,851,000.00
142018-01-199,235,000.000.0014,260,086,000.00
152018-01-2224,881,000.000.0014,284,967,000.00
162018-01-2323,718,000.000.0014,308,685,000.00
172018-01-2413,701,000.000.0014,322,386,000.00
182018-01-257,844,000.000.0014,330,230,000.00
192018-01-265,354,000.000.0014,335,584,000.00
202018-01-296,499,000.000.0014,342,083,000.00
212018-01-3010,624,000.000.0014,352,707,000.00
222018-01-3113,819,000.000.0014,366,526,000.00
232018-02-0113,364,000.000.0014,379,890,000.00
242018-02-029,063,000.000.0014,388,953,000.00
252018-02-0513,797,000.000.0014,402,750,000.00
262018-02-0614,920,000.000.0014,417,670,000.00
272018-02-077,068,000.000.0014,424,738,000.00
282018-02-089,496,000.000.0014,434,234,000.00
292018-02-0913,610,000.000.0014,447,844,000.00
302018-02-1123,380,000.000.0014,471,224,000.00
312018-02-1231,995,000.000.0014,503,219,000.00
322018-02-1314,062,000.000.0014,517,281,000.00
332018-02-1411,817,000.000.0014,529,098,000.00
342018-02-227,691,000.000.0014,536,789,000.00
352018-02-2313,903,000.000.0014,550,692,000.00
362018-02-2420,807,000.000.0014,571,499,000.00
372018-02-2631,529,000.00417,230,000.0014,185,798,000.00
382018-02-2720,754,000.0064,899,000.0014,141,653,000.00
392018-02-2822,221,000.0049,317,000.0014,114,557,000.00
402018-03-0113,103,000.0071,135,000.0014,056,525,000.00
412018-03-0220,197,000.0038,273,000.0014,038,449,000.00
422018-03-0534,085,000.00112,493,000.0013,960,041,000.00
432018-03-0643,593,000.00148,563,000.0013,855,071,000.00
442018-03-0724,090,000.0069,536,000.0013,809,625,000.00
452018-03-0826,509,000.0060,784,000.0013,775,350,000.00
462018-03-0960,786,000.0094,613,000.0013,741,523,000.00
472018-03-1228,350,000.00292,701,000.0013,477,172,000.00
482018-03-1350,937,000.00345,013,000.0013,183,096,000.00
492018-03-1430,916,000.0079,331,000.0013,134,681,000.00
502018-03-1522,119,000.0085,298,000.0013,071,502,000.00
512018-03-1624,617,000.0054,112,000.0013,042,007,000.00
522018-03-1917,697,000.00112,886,000.0012,946,818,000.00
532018-03-2032,609,000.0074,747,000.0012,904,680,000.00
542018-03-2116,978,000.0038,592,000.0012,883,066,000.00
552018-03-2215,177,000.0030,615,000.0012,867,628,000.00
562018-03-238,965,000.0039,891,000.0012,836,702,000.00
572018-03-264,772,000.0060,471,000.0012,781,003,000.00
582018-03-277,784,000.0064,033,000.0012,724,754,000.00
592018-03-288,046,000.0029,922,000.0012,702,878,000.00
602018-03-297,668,000.0028,157,000.0012,682,389,000.00
612018-03-305,196,000.0030,423,000.0012,657,162,000.00

产品债券持仓前十位基本信息如下表所示:

序号 债券代码 债券名称 债券面值

说明: 非标准化债权资产指未在银行间市场及证券交易所市场交易的债权性资产。产品存续期间,兴业银行将在协议约定的范围内,管理和运用理财产品资金,并根据市场情况、政策变化等因素,合理调整所投资的资产种类及配置比例。非标准化债权资产的明细信息详情请理财持有人登录网银后进行查询。

特此公告!

兴业银行

2018-03-31

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