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20200801-20200831

发布时间:2020-09-01

尊敬的客户:

我行2020年8月1日至2020年8月31日到期的个人理财产品收益率信息披露如下:

产品名称

产品代码

起息日

到期日

期限
(天)

预期年化
收益率

实际年化收益率

丰泰代销FT20200005GR07

9020101200092

20200203

20200803

182

3.75%

3.75%

丰泰FT20200006GR02

9020101200088

20200203

20200803

182

3.80%

3.80%

丰登理财35天X4

9020101200556

20200629

20200804

36

3.80%

3.80%

丰盈专属FYZS20200024GR02

9020101200401

20200428

20200804

98

4.25%

4.25%

丰裕FY20200018GR01

9020101200399

20200428

20200804

98

3.85%

3.85%

丰盈专属FYZS20200025GR01

9020101200424

20200506

20200805

91

4.20%

4.20%

丰裕FY20200020GR01

9020101200422

20200506

20200805

91

3.80%

3.80%

丰裕FY20200004GR06

9020101200084

20200204

20200805

183

4.10%

4.10%

丰登理财35天X4

9020101200602

20200710

20200810

31

4.35%

4.35%

丰登理财35天X4

9020101200569

20200707

20200811

35

3.80%

3.80%

丰盈专属FYZS20200005GR02

9020101200118

20200211

20200811

182

4.40%

4.40%

丰裕FY20200005GR02

9020101200105

20200212

20200811

181

4.10%

4.10%

丰泰FT20200007GR02

9020101200103

20200212

20200811

181

3.80%

3.80%

丰登理财35天X4

9020101200572

20200707

20200812

36

3.80%

3.80%

丰盈专属FYZS20200026GR01

9020101200433

20200512

20200812

92

4.20%

4.20%

丰裕FY20200021GR01

9020101200431

20200512

20200812

92

3.80%

3.80%

丰登理财35天X4

9020101200595

20200714

20200813

30

4.35%

4.35%

丰登理财35天X4

9020101200592

20200715

20200818

34

3.95%

3.95%

丰登理财90天F1

9020101200453

20200519

20200818

91

3.65%

3.65%

丰裕FY20200007GR03

9020101200154

20200226

20200818

174

4.12%

4.12%

丰泰FT20200010GR02

9020101200151

20200226

20200818

174

3.85%

3.85%

丰登理财180天G1

9020101200138

20200218

20200818

182

4.05%

4.05%

丰盈专属FYZS20200006GR02

9020101200137

20200219

20200818

181

4.40%

4.40%

丰登理财266天X3

9020101192177

20191126

20200818

266

4.20%

4.20%

丰登理财360天X5

9020101191660

20190820

20200818

364

4.20%

4.20%

丰登理财35天X4

9020101200596

20200714

20200819

36

4.35%

4.35%

丰盈专属FYZS20200008GR02

9020101200156

20200226

20200819

175

4.40%

4.40%

丰裕FY20200006GR03

9020101200135

20200219

20200819

182

4.15%

4.15%

丰泰FT20200008GR02

9020101200132

20200219

20200819

182

3.85%

3.85%

丰登理财90天F1

9020101200467

20200526

20200825

91

3.70%

3.70%

丰裕FY20200022GR01

9020101200449

20200519

20200825

98

3.80%

3.80%

丰盈专属FYZS20200019GR02

9020101200334

20200407

20200825

140

4.30%

4.30%

丰登理财180天G1

9020101200190

20200303

20200825

175

4.05%

4.05%

丰裕FY20200024GR01

9020101200464

20200526

20200826

92

3.75%

3.75%

丰盈专属FYZS20200027GR01

9020101200451

20200519

20200826

99

4.20%

4.20%

产品名称

产品代码

起息日

到期日

期限
(天)

业绩基准

实际收益率

丰登理财30天D1

9020101200614

20200721

20200819

29

3.90%

4.01%

 

本内容仅供参考,不构成法律要约,以当地网点的公告与具体规定为准。

 

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                                     2020年9月1日