尊敬的客户:
我行于2018年9月1日至2018年9月30日发行的下列产品已募集结束,根据说明书约定,现将产品起息成立情况进行信息披露:
产品名称
|
产品代码
|
起息日
|
到期日
|
丰裕FY20180041GR01
|
9020101183095
|
2018/9/4
|
2018/12/3
|
丰泰FT20180135GR01
|
9020101183093
|
2018/9/4
|
2018/12/3
|
丰盈专属FYZS20180119GR01
|
9020101183098
|
2018/9/5
|
2018/12/4
|
丰裕FY20180041GR03
|
9020101183097
|
2018/9/5
|
2019/5/13
|
丰裕FY20180041GR02
|
9020101183096
|
2018/9/5
|
2019/3/4
|
丰泰FT20180135GR02
|
9020101183094
|
2018/9/5
|
2019/3/4
|
丰盈专属FYZS20180125GR01
|
9020101183229
|
2018/9/7
|
2018/12/10
|
丰泰FT20180140GR02
|
9020101183228
|
2018/9/7
|
2018/11/12
|
丰泰FT20180140GR01
|
9020101183227
|
2018/9/7
|
2019/2/18
|
丰泰FT20180142GR01
|
9020101183235
|
2018/9/10
|
2018/10/10
|
丰盈专属FYZS20180126GR01
|
9020101183234
|
2018/9/10
|
2019/1/7
|
丰盈专属FYZS20180123GR02
|
9020101183182
|
2018/9/11
|
2019/5/9
|
丰盈专属FYZS20180123GR01
|
9020101183180
|
2018/9/11
|
2019/1/9
|
丰登理财266天X3
|
9020101183179
|
2018/9/11
|
2019/6/4
|
丰裕FY20180042GR02
|
9020101183178
|
2018/9/11
|
2019/3/11
|
丰盈专属FYZS20180123GR03
|
9020101183183
|
2018/9/12
|
2019/9/12
|
丰裕FY20180042GR01
|
9020101183177
|
2018/9/12
|
2018/12/3
|
丰泰FT20180137GR02
|
9020101183176
|
2018/9/12
|
2019/3/11
|
丰泰FT20180137GR01
|
9020101183175
|
2018/9/12
|
2019/1/10
|
丰盈专属FYZS20180127GR02
|
9020101183239
|
2018/9/13
|
2019/1/7
|
丰泰FT20180139GR01
|
9020101183221
|
2018/9/13
|
2019/3/11
|
丰盈专属FYZS20180127GR01
|
9020101183238
|
2018/9/14
|
2018/10/15
|
丰盈专属FYZS20180128GR01
|
9020101183259
|
2018/9/18
|
2019/3/19
|
丰登理财266天X3
|
9020101183258
|
2018/9/18
|
2019/6/11
|
丰裕FY20180043GR01
|
9020101183256
|
2018/9/18
|
2018/12/17
|
丰盈专属FYZS20180128GR02
|
9020101183260
|
2018/9/19
|
2019/9/19
|
丰裕FY20180043GR02
|
9020101183257
|
2018/9/19
|
2019/3/19
|
丰泰FT20180144GR02
|
9020101183255
|
2018/9/19
|
2019/3/18
|
丰泰FT20180144GR01
|
9020101183254
|
2018/9/19
|
2018/12/18
|
丰盈专属FYZS20180129GR01
|
9020101183320
|
2018/9/21
|
2019/1/14
|
丰盈专属FYZS20180129GR02
|
9020101183321
|
2018/9/25
|
2019/1/15
|
丰裕FY20180044GR03
|
9020101183319
|
2018/9/25
|
2019/5/23
|
丰裕FY20180044GR01
|
9020101183317
|
2018/9/25
|
2018/12/12
|
丰盈专属FYZS20180129GR03
|
9020101183322
|
2018/9/26
|
2019/4/2
|
丰裕FY20180044GR02
|
9020101183318
|
2018/9/26
|
2019/3/25
|
丰泰FT20180147GR02
|
9020101183316
|
2018/9/26
|
2019/3/25
|
丰泰FT20180147GR01
|
9020101183315
|
2018/9/26
|
2018/12/20
|
丰盈专属FYZS20180133GR03
|
9020101183418
|
2018/9/28
|
2018/11/7
|
丰盈专属FYZS20180132GR02
|
9020101183382
|
2018/9/28
|
2019/4/2
|
丰盈专属FYZS20180132GR01
|
9020101183381
|
2018/9/28
|
2019/1/24
|
丰裕FY20180045GR02
|
9020101183380
|
2018/9/28
|
2019/1/24
|
丰裕FY20180045GR01
|
9020101183379
|
2018/9/28
|
2018/12/3
|
丰泰FT20180149GR01
|
9020101183378
|
2018/9/28
|
2019/1/8
|
上述产品均已成立。