葫芦岛银行“金葫芦”恒信系列理财产品净值公告20260130

产品名称

净值日期

单位净值

资产净值(元)

“金葫芦”恒信539

2026-01-29

1.004789

35,167,615.00

“金葫芦”恒信540

2026-01-29

1.004425

30,132,750.00

“金葫芦”恒信541

2026-01-29

1.004060

25,101,500.00

“金葫芦”恒信542

2026-01-29

1.003696

25,090,392.61

“金葫芦”恒信543

2026-01-29

1.002603

20,047,046.98

“金葫芦”恒信544

2026-01-29

1.002238

15,030,563.29

“金葫芦”恒信545

2026-01-29

1.001874

30,050,208.76

“金葫芦”恒信546

2026-01-29

1.001145

30,028,343.13

“金葫芦”恒信547

2026-01-29

1.000781

30,020,427.66

“金葫芦”恒信548

2026-01-29

1.000052

35,001,820.00