发行/到期公告

厦门农商银行个人理财产品收益率信息披露20190601-20190630

发布时间:2019-07-11

尊敬的客户:

我行2019年6月1日至2019年6月30日到期的个人理财产品收益率信息披露如下:

个人理财产品期数

起息日

到期日

期限
(天)

预期年化
收益率

实际年化收益率

收益
实现率

丰盈FYZS20190017GR02

2019/3/8

2019/6/3

87

4.75%

4.75%

100.00%

丰裕FY20180048GR02

2018/10/24

2019/6/3

222

4.85%

4.85%

100.00%

丰泰FT20190023GR01

2019/3/5

2019/6/4

91

4.05%

4.05%

100.00%

丰泰FT20190020GR02

2019/2/20

2019/6/4

104

4.30%

4.30%

100.00%

丰泰FT20180191GR03

2018/12/26

2019/6/4

160

4.60%

4.60%

100.00%

丰泰FT20180185GR03

2018/12/18

2019/6/4

168

4.55%

4.55%

100.00%

丰登理财266天X3

2018/9/11

2019/6/4

266

5.05%

5.05%

100.00%

丰泰FT20190025GR03

2019/3/7

2019/6/5

90

4.45%

4.45%

100.00%

丰裕FY20190008GR01

2019/3/6

2019/6/5

91

4.45%

4.45%

100.00%

丰泰FT20190022GR01

2019/2/26

2019/6/5

99

4.15%

4.15%

100.00%

丰泰FT20180093GR02

2018/6/5

2019/6/5

365

5.10%

5.10%

100.00%

丰泰FT20190023GR03

2019/2/28

2019/6/6

98

4.05%

4.05%

100.00%

丰裕FY20180046GR03

2018/10/9

2019/6/6

240

5.00%

5.00%

100.00%

丰泰FT20190037GR02

2019/4/16

2019/6/10

55

3.90%

3.90%

100.00%

丰泰FT20190030GR02

2019/3/26

2019/6/10

76

4.10%

4.10%

100.00%

丰裕FY20190024GR01

2019/5/8

2019/6/11

34

4.15%

4.15%

100.00%

丰裕FY20190016GR03

2019/4/17

2019/6/11

55

4.25%

4.25%

100.00%

丰裕FY20190013GR05

2019/3/22

2019/6/11

81

4.55%

4.55%

100.00%

丰裕FY20190013GR04

2019/3/27

2019/6/11

76

4.55%

4.55%

100.00%

丰泰FT20190029GR03

2019/3/13

2019/6/11

90

4.10%

4.10%

100.00%

丰裕FY20180057GR03

2018/12/18

2019/6/11

175

4.85%

4.85%

100.00%

丰登理财180天G1

2018/12/11

2019/6/11

182

4.80%

4.80%

100.00%

丰裕FY20180047GR03

2018/10/16

2019/6/11

238

5.00%

5.00%

100.00%

丰登理财266天X3

2018/9/18

2019/6/11

266

5.05%

5.05%

100.00%

丰泰FT20190040GR03

2019/4/23

2019/6/12

50

3.90%

3.90%

100.00%

丰裕FY20190011GR02

2019/3/19

2019/6/12

85

4.45%

4.45%

100.00%

丰盈专属FYZS20190015GR01

2019/3/6

2019/6/12

98

4.70%

4.70%

100.00%

丰裕FY20180059GR03

2018/12/26

2019/6/12

168

4.85%

4.85%

100.00%

丰裕FY20190017GR01

2019/4/24

2019/6/13

50

4.20%

4.20%

100.00%

丰泰FT20190029GR04

2019/3/15

2019/6/13

90

4.20%

4.20%

100.00%

丰盈FYZS20190018GR01

2019/3/20

2019/6/13

85

4.70%

4.70%

100.00%

丰泰FT20190029GR01

2019/3/20

2019/6/13

85

4.00%

4.00%

100.00%

丰裕FY20180063GR02

2019/1/2

2019/6/13

162

4.85%

4.85%

100.00%

丰泰FT20180196GR02

2019/1/2

2019/6/13

162

4.60%

4.60%

100.00%

丰泰FT20190043GR03

2019/4/26

2019/6/17

52

4.00%

4.00%

100.00%

丰泰FT20190027GR02

2019/3/13

2019/6/17

96

3.95%

3.95%

100.00%

丰泰FT20190048GR01

2019/5/14

2019/6/18

35

3.90%

3.90%

100.00%

丰盈专属FYZS20190018GR03

2019/3/20

2019/6/18

90

4.70%

4.70%

100.00%

丰盈FYZS20190017GR01

2019/3/13

2019/6/18

97

4.70%

4.70%

100.00%

丰泰FT20190025GR02

2019/3/13

2019/6/18

97

4.00%

4.00%

100.00%

丰裕FY20190006GR02

2019/2/20

2019/6/18

118

4.55%

4.55%

100.00%

丰盈FYZS20190018GR02

2019/3/21

2019/6/19

90

4.70%

4.70%

100.00%

丰泰FT20190030GR01

2019/3/21

2019/6/19

90

4.20%

4.20%

100.00%

丰泰代销FT20180186GR01

2018/12/20

2019/6/20

182

4.00%

4.00%

100.00%

丰盈专属FYZS20190024GR02

2019/4/25

2019/6/25

61

4.50%

4.50%

100.00%

丰泰FT20190043GR06

2019/4/29

2019/6/28

60

3.70%

3.70%

100.00%

 

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