尊敬的客户:
我行2020年9月1日至2020年9月30日到期的个人理财产品收益率信息披露如下:
产品名称 |
产品代码 |
起息日 |
到期日 |
期限 |
预期年化 |
实际年化收益率 |
丰登理财360天X5 |
9020101191754 |
20190903 |
20200901 |
364 |
4.20% |
4.20% |
丰裕FY20200008GR02 |
9020101200189 |
20200303 |
20200902 |
183 |
4.10% |
4.10% |
丰泰FT20200012GR02 |
9020101200186 |
20200304 |
20200902 |
182 |
3.85% |
3.85% |
丰登理财266天X3 |
9020101192244 |
20191210 |
20200902 |
267 |
4.20% |
4.20% |
丰裕FY20200025GR01 |
9020101200474 |
20200602 |
20200903 |
93 |
3.75% |
3.75% |
丰登理财127天X2 |
9020101200426 |
20200506 |
20200908 |
125 |
3.70% |
3.70% |
丰登理财180天G1 |
9020101200223 |
20200310 |
20200908 |
182 |
4.05% |
4.05% |
丰盈专属FYZS20200012GR02 |
9020101200222 |
20200309 |
20200908 |
183 |
4.37% |
4.37% |
丰裕FY20200009GR02 |
9020101200220 |
20200310 |
20200908 |
182 |
4.12% |
4.12% |
丰泰FT20200013GR02 |
9020101200215 |
20200311 |
20200908 |
181 |
3.85% |
|
丰登理财266天X3 |
9020101192279 |
20191217 |
20200908 |
266 |
4.20% |
4.20% |
丰盈专属FYZS20200031GR01 |
9020101200487 |
20200609 |
20200909 |
92 |
4.15% |
4.15% |
丰裕FY20200027GR01 |
9020101200485 |
20200609 |
20200909 |
92 |
3.75% |
3.75% |
丰盈专属定制FYZS20200015GR02 |
9020101200265 |
20200313 |
20200910 |
181 |
4.50% |
4.50% |
丰登理财90天F1 |
9020101200501 |
20200609 |
20200915 |
98 |
3.80% |
3.80% |
丰盈专属FYZS20200014GR02 |
9020101200252 |
20200317 |
20200915 |
182 |
4.40% |
4.40% |
丰裕FY20200010GR03 |
9020101200250 |
20200317 |
20200915 |
182 |
4.15% |
4.15% |
丰泰FT20200016GR02 |
9020101200247 |
20200318 |
20200915 |
181 |
3.85% |
3.85% |
丰登理财90天F1 |
9020101200518 |
20200616 |
20200916 |
92 |
3.85% |
3.85% |
丰裕FY20200029GR01 |
9020101200513 |
20200616 |
20200916 |
92 |
3.77% |
3.77% |
丰泰代销FT20200017GR01 |
9020101200269 |
20200316 |
20200916 |
184 |
3.75% |
3.75% |
丰登理财90天F1 |
9020101200519 |
20200616 |
20200917 |
93 |
3.85% |
3.85% |
丰登理财90天F1 |
9020101200541 |
20200623 |
20200922 |
91 |
3.80% |
3.80% |
丰盈专属FYZS20200016GR02 |
9020101200283 |
20200324 |
20200922 |
182 |
4.30% |
4.30% |
丰裕FY20200012GR02 |
9020101200281 |
20200324 |
20200922 |
182 |
4.10% |
4.10% |
丰泰FT20200019GR02 |
9020101200279 |
20200325 |
20200922 |
181 |
3.85% |
3.85% |
丰盈专属FYZS20200018GR02 |
9020101200315 |
20200401 |
20200923 |
175 |
4.30% |
4.30% |
丰裕FY20200014GR02 |
9020101200313 |
20200401 |
20200923 |
175 |
4.05% |
4.05% |
丰泰FT20200020GR02 |
9020101200311 |
20200401 |
20200923 |
175 |
3.80% |
3.80% |
丰裕FY20200041GR01 |
9020101200606 |
20200721 |
20200929 |
70 |
3.85% |
3.85% |
丰登理财90天F1 |
9020101200557 |
20200628 |
20200929 |
93 |
3.90% |
3.90% |
丰登理财180天G1 |
9020101200337 |
20200407 |
20200929 |
175 |
4.00% |
4.00% |
产品名称 |
产品代码 |
起息日 |
到期日 |
期限 |
业绩基准 |
实际收益率 |
丰登理财30天D1 |
9020101200635 |
20200804 |
20200902 |
29 |
3.80 |
4.05% |
丰登理财30天D1 |
9020101200623 |
20200730 |
20200902 |
34 |
4.00 |
4.13% |
丰登理财30天D1 |
9020101200620 |
20200728 |
20200903 |
37 |
3.85 |
4.04% |
丰登理财30天D1 |
9020101200645 |
20200810 |
20200909 |
30 |
3.80 |
4.23% |
丰登理财30天D1 |
9020101200647 |
20200811 |
20200910 |
30 |
3.80 |
4.12% |
丰登理财30天D1 |
9020101200649 |
20200813 |
20200915 |
33 |
3.80 |
4.14% |
丰登理财30天D1 |
9020101200657 |
20200818 |
20200923 |
36 |
3.80 |
4.14% |
丰登理财30天D1 |
9020101200673 |
20200825 |
20200924 |
30 |
3.75 |
4.10% |
丰登理财30天D1 |
9020101200659 |
20200819 |
20200924 |
36 |
3.75 |
4.12% |
本内容仅供参考,不构成法律要约,以当地网点的公告与具体规定为准。
厦门农村商业银行股份有限公司
2020年10月9日