发行/到期公告

厦门农商银行个人理财产品成立公告20190301-20190331

发布时间:2019-04-09

尊敬的客户:

我行于2019年3月1日至2019年3月31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:

个人理财产品期数

产品代码

起息日

到期日

丰登理财127天X2

9020101190451

2019/3/5

2019/7/9

丰泰FT20190023GR01

9020101190448

2019/3/5

2019/6/4

丰盈专属FYZS20190015GR01

9020101190453

2019/3/6

2019/6/12

丰裕FY20190008GR02

9020101190452

2019/3/6

2019/9/10

丰裕FY20190008GR01

9020101190450

2019/3/6

2019/6/5

丰泰FT20190023GR02

9020101190449

2019/3/6

2019/9/10

丰泰FT20190025GR03

9020101190493

2019/3/7

2019/6/5

丰盈FYZS20190017GR02

9020101190530

2019/3/8

2019/6/3

丰登理财266天X3

9020101190499

2019/3/12

2019/12/3

丰登理财127天X2

9020101190498

2019/3/12

2019/7/16

丰裕FY20190009GR01

9020101190496

2019/3/12

2019/4/19

丰泰FT20190025GR01

9020101190494

2019/3/12

2019/4/19

丰泰FT20190029GR03

9020101190551

2019/3/13

2019/6/11

丰泰FT20190027GR02

9020101190532

2019/3/13

2019/6/17

丰盈FYZS20190017GR01

9020101190500

2019/3/13

2019/6/18

丰裕FY20190009GR02

9020101190497

2019/3/13

2019/9/9

丰泰FT20190025GR02

9020101190495

2019/3/13

2019/6/18

丰泰FT20190029GR04

9020101190565

2019/3/15

2019/6/13

丰泰FT20190027GR01

9020101190531

2019/3/18

2019/9/16

丰裕FY20190011GR02

9020101190556

2019/3/19

2019/6/12

丰登理财55天X1

9020101190554

2019/3/19

2019/5/14

丰盈专属FYZS20190018GR03

9020101190594

2019/3/20

2019/6/18

丰裕FY20190012GR01

9020101190593

2019/3/20

2019/5/20

丰盈FYZS20190018GR01

9020101190558

2019/3/20

2019/6/13

丰裕FY20190011GR03

9020101190557

2019/3/20

2019/9/17

丰裕FY20190011GR01

9020101190555

2019/3/20

2019/5/21

丰泰FT20190029GR02

9020101190553

2019/3/20

2019/9/17

丰泰FT20190029GR01

9020101190552

2019/3/20

2019/6/13

丰盈FYZS20190018GR02

9020101190592

2019/3/21

2019/6/19

丰泰FT20190030GR01

9020101190591

2019/3/21

2019/6/19

丰裕FY20190013GR05

9020101190628

2019/3/22

2019/6/11

丰泰FT20190030GR04

9020101190621

2019/3/22

2019/7/2

丰盈FYZS20190018GR04

9020101190614

2019/3/26

2019/7/30

丰裕FY20190013GR01

9020101190610

2019/3/26

2019/5/21

丰泰FT20190030GR02

9020101190608

2019/3/26

2019/6/10

丰裕FY20190013GR04

9020101190613

2019/3/27

2019/6/11

丰裕FY20190013GR03

9020101190612

2019/3/27

2019/9/5

丰裕FY20190013GR02

9020101190611

2019/3/27

2019/7/17

丰泰FT20190030GR03

9020101190609

2019/3/27

2019/9/5

丰裕FY20190015GR03

9020101190690

2019/3/28

2019/5/5

丰泰FT20190032GR04

9020101190665

2019/3/28

2019/9/17

丰泰FT20190032GR02

9020101190663

2019/3/28

2019/5/6

丰泰FT20190032GR01

9020101190656

2019/3/28

2019/7/2

 

  上述产品均已成立。