尊敬的客户:
我行2020年10月1日至2020年10月31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90天F1 |
9020101200570 |
20200707 |
20201012 |
97 |
3.85% |
3.85% |
丰盈专属FYZS20200019GR03 |
9020101200335 |
20200408 |
20201012 |
187 |
4.30% |
4.30% |
丰泰FT20200021GR02 |
9020101200329 |
20200408 |
20201012 |
187 |
3.80% |
3.80% |
丰登理财127天X2 |
9020101200488 |
20200609 |
20201013 |
126 |
3.65% |
3.65% |
丰登理财180天G1 |
9020101200362 |
20200414 |
20201013 |
182 |
3.95% |
3.95% |
丰盈专属FYZS20200021GR02 |
9020101200361 |
20200415 |
20201013 |
181 |
4.30% |
4.30% |
丰裕FY20200016GR02 |
9020101200359 |
20200415 |
20201013 |
181 |
3.95% |
3.95% |
丰泰FT20200023GR01 |
9020101200356 |
20200414 |
20201013 |
182 |
3.78% |
3.78% |
丰裕FY20200015GR02 |
9020101200331 |
20200407 |
20201013 |
189 |
4.00% |
4.00% |
丰登理财90天F1 |
9020101200575 |
20200707 |
20201014 |
99 |
4.10% |
4.10% |
丰裕FY20200032GR01 |
9020101200536 |
20200623 |
20201014 |
113 |
3.80% |
3.80% |
丰登理财90天F1 |
9020101200576 |
20200707 |
20201015 |
100 |
4.20% |
4.20% |
丰登理财90天F1 |
9020101200573 |
20200707 |
20201016 |
101 |
3.85% |
3.85% |
丰登理财90天F1 |
9020101200577 |
20200702 |
20201019 |
109 |
4.40% |
4.40% |
丰登理财180天G1 |
9020101200403 |
20200428 |
20201020 |
175 |
3.85% |
3.85% |
丰泰FT20200026GR01 |
9020101200398 |
20200428 |
20201020 |
175 |
3.80% |
3.80% |
丰登理财180天G1 |
9020101200386 |
20200421 |
20201020 |
182 |
3.85% |
3.85% |
丰盈专属FYZS20200023GR02 |
9020101200385 |
20200422 |
20201020 |
181 |
4.30% |
4.30% |
丰裕FY20200017GR02 |
9020101200383 |
20200422 |
20201020 |
181 |
3.95% |
3.95% |
丰泰FT20200025GR02 |
9020101200381 |
20200422 |
20201020 |
181 |
3.85% |
3.85% |
丰登理财90天F1 |
9020101200593 |
20200714 |
20201021 |
99 |
4.00% |
4.00% |
丰裕FY20200033GR01 |
9020101200553 |
20200629 |
20201021 |
114 |
3.90% |
3.90% |
丰盈专属FYZS20200024GR03 |
9020101200402 |
20200429 |
20201021 |
175 |
4.30% |
4.30% |
丰裕FY20200018GR02 |
9020101200400 |
20200429 |
20201021 |
175 |
3.90% |
3.90% |
丰登理财90天F1 |
9020101200609 |
20200722 |
20201022 |
92 |
4.15% |
4.15% |
丰裕FY20200037GR01 |
9020101200590 |
20200714 |
20201027 |
105 |
4.00% |
4.00% |
丰裕FY20200034GR01 |
9020101200566 |
20200707 |
20201027 |
112 |
3.85% |
3.85% |
丰泰FT20200034GR01 |
9020101200511 |
20200616 |
20201027 |
133 |
3.70% |
3.70% |
丰裕FY20200043GR01 |
9020101200618 |
20200728 |
20201028 |
92 |
3.85% |
3.85% |
丰裕FY20200041GR02 |
9020101200607 |
20200722 |
20201028 |
98 |
3.90% |
3.90% |
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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