葫芦岛银行“金葫芦”恒信系列理财产品净值公告20250507

产品名称

净值日期

单位净值

资产净值(元)

“金葫芦”恒信472

2025-05-06

1.023836

30,710,984.66

“金葫芦”恒信474

2025-05-06

1.022477

30,674,310.00

“金葫芦”恒信499

2025-05-06

1.012397

30,371,910.00

“金葫芦”恒信513

2025-05-06

1.004373

30,131,190.00

“金葫芦”恒信514

2025-05-06

1.003970

30,119,100.00

“金葫芦”恒信515

2025-05-06

1.003567

30,107,010.00

“金葫芦”恒信516

2025-05-06

1.003164

30,094,920.00

“金葫芦”恒信517

2025-05-06

1.002762

30,082,860.00

“金葫芦”恒信518

2025-05-06

1.002359

30,070,770.00

“金葫芦”恒信519

2025-05-06

1.001151

40,037,029.64

“金葫芦”恒信520

2025-05-06

1.000748

40,029,920.00