兑付公告

“丰利盈91天”收益公告
发布日期:2025-09-04

“丰利盈91天”收益公告

产品代码

收益率对应日期

单位份额净值

成立以来年化收益率(%

HZXSXYLCFLY091D

20250807

1.001356

2.2497

HZXSXYLCFLY091D

20250813

1.001727

2.2512

HZXSXYLCFLY091D

20250820

1.002163

2.2557

HZXSXYLCFLY091D

20250827

1.002605

2.2638

HZXSXYLCFLY091D

20250903

1.003040

2.2644