葫芦岛银行“金葫芦”恒信系列理财产品净值公告20260311

产品名称

净值日期

单位净值

资产净值(元)

“金葫芦”恒信543

2026-03-10

1.004685

20,088,676.58

“金葫芦”恒信544

2026-03-10

1.004321

15,061,802.04

“金葫芦”恒信545

2026-03-10

1.003956

30,112,656.26

“金葫芦”恒信546

2026-03-10

1.003227

30,090,790.64

“金葫芦”恒信547

2026-03-10

1.002863

30,082,881.41

“金葫芦”恒信548

2026-03-10

1.002134

35,074,690.00

“金葫芦”恒信549

2026-03-10

1.001770

25,044,250.00

“金葫芦”恒信550

2026-03-10

1.001405

25,030,117.98

“金葫芦”恒信551

2026-03-10

1.000677

25,015,924.32

“金葫芦”恒信552

2026-03-10

1.000312

20,001,238.44