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中国建设银行“乾元-恒赢”(按日)开放式净值型人民币理财产品净值公告

发布时间:2018-09-28

尊敬的客户:

中国建设银行“乾元-恒赢”(按日)开放式净值型人民币理财产品(产品编码:GD072018QYHY01Y99)净值如下:

截止日

单位净值

七日年化收益率

2018927

1.004831

4.0448%

2018926

1.004720

4.0426%

2018925

1.004608

4.0391%

2018924

1.004497

4.0426%

2018923

1.004386

4.0411 %

2018922

1.004275

4.0413 %

2018815

1.000108

4.0066%

 

中国建设银行股份有限公司

2018年9月28日

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