收益起始日期
|
收益终止日(含)
|
预期年化收益率1
|
预期年化收益率2
|
实际年化收益率1
|
实际年化收益率2
|
2018-8-15
|
2018-10-22
|
4.6500%
|
4.7500%
|
4.6500%
|
4.7500%
|
2018-10-22
|
2018-12-26
|
4.3500%
|
4.4500%
|
4.3500%
|
4.4500%
|
2018-12-26
|
2019-2-27
|
4.3500%
|
4.4500%
|
4.3500%
|
4.4500%
|
2019-2-27
|
2019-5-2
|
4.0000%
|
4.1000%
|
4.0000%
|
4.1000%
|
2019-5-6
|
2019-7-3
|
3.9000%
|
3.9500%
|
3.9000%
|
3.9500%
|
2019-7-3
|
2019-9-4
|
4.0000%
|
4.0500%
|
4.0000%
|
4.0500%
|
2019-9-4
|
2019-11-6
|
4.0000%
|
4.0500%
|
4.0000%
|
4.0500%
|
2019-11-6
|
2020-1-8
|
3.8500%
|
3.9000%
|
3.8500%
|
3.9000%
|
2020-1-8
|
2020-3-11
|
3.8500%
|
3.9000%
|
3.8500%
|
3.9000%
|
2020-3-11
|
2020-5-13
|
3.8000%
|
3.8500%
|
3.8000%
|
3.8500%
|
2020-5-13
|
2020-7-15
|
3.4500%
|
3.5000%
|
3.4500%
|
3.5000%
|
2020-7-15
|
2020-9-16
|
3.5500%
|
3.6000%
|
3.5500%
|
3.6000%
|
2020-9-16
|
2020-11-18
|
3.5500%
|
3.6000%
|
3.5500%
|
3.6000%
|
2020-11-18
|
2021-1-20
|
3.5500%
|
3.6000%
|
3.5500%
|
3.6000%
|
2021-1-20
|
2021-3-24
|
3.5500%
|
3.6000%
|
3.5500%
|
3.6000%
|
2021-3-24
|
2021-5-26
|
3.5500%
|
3.6000%
|
3.5500%
|
3.6000%
|
2021-5-26
|
2021-7-28
|
3.5500%
|
3.6000%
|
|
|
2021-7-28
|
2021-9-29
|
3.5500%
|
3.6000%
|
|
|
说明:当日持有理财产品份额20万以下,客户收益参照“预期年化收益率1”计算;
当日持有理财产品份额20万(含)以上,客户收益参照“预期年化收益率2”计算。