尊敬的投资者:
按照说明书约定,现将2026年3月30日-2026年4月3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 |
JGXCKYX01326 |
中债国债30YTM |
20260403 |
365 |
2% |
|
2 |
JGXCKYX01566 |
中债国债7YTM |
20260401 |
92 |
1.75% |
|
3 |
JGXCKYX01567 |
中债国债7YTM |
20260401 |
92 |
1.8% |
|
4 |
JGXCKYX01568 |
中债国债7YTM |
20260401 |
92 |
2% |
|
5 |
JGXCKYX01579 |
中债国债30YTM |
20260401 |
88 |
1.85% |
|
6 |
JGXCKYX01605 |
中债国债30YTM |
20260401 |
62 |
1.8% |
|
7 |
JGXCKYX01637 |
EURUSD |
20260330 |
26 |
1.65% |
|
8 |
JGXCKYX01638 |
EURUSD |
20260330 |
26 |
1.65% |
|
9 |
JGXCKYX01640 |
中债国债5YTM |
20260331 |
30 |
2.1% |
|
10 |
JGXCKYX01641 |
中债国债5YTM |
20260331 |
30 |
2.1% |
|
11 |
JGXCKYX01642 |
EURUSD |
20260330 |
27 |
1.7% |
|
12 |
JGXCKYX01643 |
EURUSD |
20260330 |
27 |
1.7% |
|
13 |
JGXCKYX01644 |
EURUSD |
20260330 |
27 |
1.7% |
|
14 |
JGXCKYX01645 |
EURUSD |
20260330 |
27 |
1.75% |
|
15 |
JGXCKYX01646 |
EURUSD |
20260330 |
27 |
1.8% |
|
16 |
JGXCKYX01647 |
EURUSD |
20260330 |
27 |
1.85% |
|
17 |
JGXCKYX01648 |
EURUSD |
20260330 |
27 |
1.95% |
|
18 |
JGXCKYX01652 |
EURUSD |
20260330 |
24 |
1.7% |
|
19 |
JGXCKYX01653 |
EURUSD |
20260330 |
24 |
1.75% |
|
20 |
JGXCKYX01654 |
EURUSD |
20260330 |
24 |
1.8% |
|
21 |
JGXCKYX01655 |
EURUSD |
20260330 |
24 |
1.95% |
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