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厦门农商银行个人理财产品收益率信息披露20200901-20200930

发布时间:2020-10-09

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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
(天)

预期年化
收益率

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
(天)

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。

                           

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                                     2020年10月9日