按照说明书约定,现将2026年1月26-30日到期的结构性存款产品的实际收益率发布如下:
|
序号 |
产品编号 |
挂钩标的 |
到期日 |
天数 |
实际收益率 |
|
1 |
JGXCKYX01427 |
中债国债30YTM |
20260127 |
180 |
1.7% |
|
2 |
JGXCKYX01487 |
中债国债7YTM |
20260126 |
102 |
1.7% |
|
3 |
JGXCKYX01500 |
中债国债7YTM |
20260126 |
90 |
1.75% |
|
4 |
JGXCKYX01501 |
中债国债7YTM |
20260126 |
90 |
1.95% |
|
5 |
JGXCKYX01531 |
中债国债7YTM |
20260126 |
60 |
1.9% |
|
6 |
JGXCKYX01564 |
中债国债7YTM |
20260130 |
31 |
1.75% |
|
7 |
JGXCKYX01573 |
中债国债30YTM |
20260129 |
26 |
1.8% |
|
8 |
JGXCKYX01574 |
中债国债30YTM |
20260129 |
26 |
1.85% |
|
9 |
JGXCKYX01575 |
中债国债30YTM |
20260129 |
26 |
1.85% |
|
10 |
JGXCKYX01576 |
中债国债30YTM |
20260130 |
27 |
1.85% |
|
11 |
JGXCKYX01577 |
中债国债30YTM |
20260130 |
27 |
1.85% |
|
12 |
JGXCKYX01578 |
中债国债30YTM |
20260130 |
27 |
1.85% |
|
13 |
JGXCKYX01580 |
EURUSD |
20260129 |
23 |
1.7% |
|
14 |
JGXCKYX01581 |
EURUSD |
20260129 |
23 |
1.75% |
|
15 |
JGXCKYX01582 |
EURUSD |
20260129 |
23 |
1.7% |
|
16 |
JGXCKYX01583 |
EURUSD |
20260129 |
23 |
1.8% |
|
17 |
JGXCKYX01584 |
EURUSD |
20260129 |
23 |
1.8% |
|
18 |
JGXCKYX01585 |
EURUSD |
20260129 |
23 |
1.85% |
|
19 |
JGXCKYX01586 |
EURUSD |
20260130 |
24 |
2.1% |
|
20 |
JGXCKYX01587 |
EURUSD |
20260130 |
24 |
2.1% |
|
21 |
JGXCKYX01592 |
EURUSD |
20260130 |
21 |
1.8% |
|
22 |
JGXCKYX01593 |
EURUSD |
20260130 |
21 |
1.7% |
|
23 |
JGXCKYX01594 |
EURUSD |
20260129 |
20 |
1.85% |
|
24 |
JGXCKYX01596 |
EURUSD |
20260130 |
18 |
1.6% |
常熟农商银行
2026年1月30日








