尊敬的客户:
我行于2019年12月1日至2019年12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 |
丰裕FY20190061GR01 |
9020101192240 |
2019/12/3 |
2020/3/3 |
丰登理财360天X5 |
9020101192217 |
2019/12/3 |
2020/12/1 |
丰登理财90天F1 |
9020101192216 |
2019/12/3 |
2020/3/3 |
丰泰FT20190106GR01 |
9020101192209 |
2019/12/3 |
2020/3/18 |
丰盈专属FYZS20190079GR01 |
9020101192218 |
2019/12/4 |
2020/3/4 |
丰裕FY20190060GR02 |
9020101192215 |
2019/12/4 |
2020/6/3 |
丰裕FY20190060GR01 |
9020101192214 |
2019/12/4 |
2020/3/3 |
丰泰FT20190106GR02 |
9020101192210 |
2019/12/4 |
2020/5/19 |
丰裕定制FY20190061GR05 |
9020101192264 |
2019/12/5 |
2020/1/6 |
丰盈专属定制FYZS20190081GR01 |
9020101192263 |
2019/12/5 |
2020/1/6 |
丰登理财266天X3 |
9020101192244 |
2019/12/10 |
2020/9/2 |
丰泰FT20190108GR01 |
9020101192238 |
2019/12/10 |
2020/3/18 |
丰裕FY20190061GR02 |
9020101192241 |
2019/12/11 |
2020/3/18 |
丰泰FT20190108GR02 |
9020101192239 |
2019/12/11 |
2020/6/9 |
丰裕FY20190061GR03 |
9020101192242 |
2019/12/12 |
2020/4/8 |
丰泰定制FT20190110GR03 |
9020101192292 |
2019/12/13 |
2020/3/18 |
丰裕FY20190061GR04 |
9020101192243 |
2019/12/13 |
2020/6/11 |
丰泰定制FT20190110GR04 |
9020101192305 |
2019/12/16 |
2020/1/15 |
丰裕FY20190062GR01 |
9020101192280 |
2019/12/17 |
2020/2/5 |
丰登理财266天X3 |
9020101192279 |
2019/12/17 |
2020/9/8 |
丰泰FT20190110GR01 |
9020101192277 |
2019/12/17 |
2020/3/12 |
丰裕FY20190062GR03 |
9020101192282 |
2019/12/18 |
2020/6/16 |
丰裕FY20190062GR02 |
9020101192281 |
2019/12/18 |
2020/3/17 |
丰泰FT20190110GR02 |
9020101192278 |
2019/12/18 |
2020/6/16 |
丰泰代销FT20190111GR03 |
9020101192306 |
2019/12/20 |
2020/6/17 |
丰泰代销FT20190111GR02 |
9020101192299 |
2019/12/20 |
2020/6/17 |
丰泰代销FT20190111GR01 |
9020101192298 |
2019/12/20 |
2020/6/17 |
丰泰定制FT20190112GR03 |
9020101192320 |
2019/12/24 |
2020/3/16 |
丰登理财180天G1 |
9020101192319 |
2019/12/24 |
2020/6/23 |
丰泰FT20190112GR02 |
9020101192315 |
2019/12/25 |
2020/6/18 |
丰泰FT20190112GR01 |
9020101192314 |
2019/12/25 |
2020/4/2 |
丰泰FT20190114GR01 |
9020101192338 |
2019/12/26 |
2020/4/2 |
上述产品均已成立。