尊敬的客户:
我行于2019年4月1日至2019年4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:
个人理财产品期数 |
产品代码 |
起息日 |
到期日 |
丰登理财90天F1 |
9020101190666 |
2019/4/2 |
2019/7/2 |
丰盈FYZS20190019GR01 |
9020101190669 |
2019/4/3 |
2019/7/3 |
丰裕FY20190015GR02 |
9020101190668 |
2019/4/3 |
2019/9/23 |
丰裕FY20190015GR01 |
9020101190667 |
2019/4/3 |
2019/8/5 |
丰泰FT20190032GR03 |
9020101190664 |
2019/4/3 |
2019/7/3 |
丰盈专属FYZS20190019GR04 |
9020101190733 |
2019/4/4 |
2019/7/2 |
丰盈专属FYZS20190019GR02 |
9020101190709 |
2019/4/8 |
2019/7/9 |
丰裕FY20190016GR01 |
9020101190707 |
2019/4/9 |
2019/5/21 |
丰泰FT20190034GR01 |
9020101190704 |
2019/4/9 |
2019/5/21 |
丰盈专属FYZS20190019GR03 |
9020101190710 |
2019/4/10 |
2019/10/9 |
丰裕FY20190016GR02 |
9020101190708 |
2019/4/10 |
2019/7/11 |
丰泰FT20190034GR03 |
9020101190706 |
2019/4/10 |
2019/10/9 |
丰泰FT20190034GR02 |
9020101190705 |
2019/4/10 |
2019/7/11 |
丰泰FT20190038GR01 |
9020101190779 |
2019/4/11 |
2019/10/11 |
丰泰FT20190034GR04 |
9020101190745 |
2019/4/11 |
2019/7/8 |
丰盈专属FYZS20190022GR01 |
9020101190792 |
2019/4/12 |
2019/7/3 |
丰泰FT20190037GR01 |
9020101190762 |
2019/4/15 |
2019/7/15 |
丰泰FT20190040GR01 |
9020101190793 |
2019/4/16 |
2019/7/16 |
丰泰FT20190037GR02 |
9020101190766 |
2019/4/16 |
2019/6/10 |
丰登理财127天X2 |
9020101190765 |
2019/4/16 |
2019/8/13 |
丰泰FT20190037GR04 |
9020101190768 |
2019/4/17 |
2019/10/10 |
丰泰FT20190037GR03 |
9020101190767 |
2019/4/17 |
2019/7/11 |
丰裕FY20190016GR04 |
9020101190764 |
2019/4/17 |
2019/10/10 |
丰裕FY20190016GR03 |
9020101190763 |
2019/4/17 |
2019/6/11 |
丰盈专属FYZS20190019GR05 |
9020101190761 |
2019/4/17 |
2019/7/11 |
丰盈专属FYZS20190019GR06 |
9020101190760 |
2019/4/17 |
2019/10/10 |
丰裕FY20190019GR01 |
9020101190838 |
2019/4/18 |
2019/5/21 |
丰泰FT20190040GR02 |
9020101190806 |
2019/4/18 |
2019/10/21 |
丰泰FT20190041GR05 |
9020101190834 |
2019/4/19 |
2019/7/15 |
丰登理财127天X2 |
9020101190815 |
2019/4/23 |
2019/8/27 |
丰泰FT20190040GR03 |
9020101190808 |
2019/4/23 |
2019/6/12 |
丰盈专属FYZS20190024GR01 |
9020101190880 |
2019/4/24 |
2019/10/16 |
丰裕FY20190019GR02 |
9020101190843 |
2019/4/24 |
2019/8/5 |
丰盈专属FYZS20190022GR03 |
9020101190814 |
2019/4/24 |
2019/10/21 |
丰盈专属FYZS20190022GR02 |
9020101190813 |
2019/4/24 |
2019/7/23 |
丰裕FY20190017GR02 |
9020101190812 |
2019/4/24 |
2019/10/21 |
丰裕FY20190017GR01 |
9020101190811 |
2019/4/24 |
2019/6/13 |
丰泰FT20190040GR05 |
9020101190810 |
2019/4/24 |
2019/10/21 |
丰泰FT20190040GR04 |
9020101190809 |
2019/4/24 |
2019/7/23 |
丰盈专属FYZS20190024GR02 |
9020101190916 |
2019/4/25 |
2019/6/25 |
丰泰FT20190043GR01 |
9020101190879 |
2019/4/25 |
2019/8/7 |
丰盈专属FYZS20190024GR03 |
9020101190917 |
2019/4/26 |
2019/7/23 |
丰盈专属FYZS20190022GR05 |
9020101190890 |
2019/4/26 |
2019/10/11 |
丰泰FT20190043GR03 |
9020101190885 |
2019/4/26 |
2019/6/17 |
丰泰FT20190043GR02 |
9020101190878 |
2019/4/26 |
2019/7/25 |
丰盈专属FYZS20190022GR04 |
9020101190908 |
2019/4/28 |
2019/7/23 |
丰泰FT20190043GR05 |
9020101190902 |
2019/4/28 |
2019/7/23 |
丰盈专属FYZS20190024GR05 |
9020101190934 |
2019/4/29 |
2019/10/14 |
丰盈专属FYZS20190024GR04 |
9020101190933 |
2019/4/29 |
2020/4/21 |
丰泰FT20190043GR06 |
9020101190920 |
2019/4/29 |
2019/6/28 |
丰登理财266天X3 |
9020101190891 |
2019/4/29 |
2020/1/21 |
丰裕FY20190020GR02 |
9020101190889 |
2019/4/29 |
2019/10/14 |
丰裕FY20190020GR01 |
9020101190888 |
2019/4/29 |
2019/7/24 |
丰泰FT20190043GR04 |
9020101190887 |
2019/4/29 |
2019/10/14 |
丰盈专属FYZS20190024GR06 |
9020101190935 |
2019/4/30 |
2019/8/5 |
上述产品均已成立。