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中信保诚人寿保险有限公司

  投资账户单位价格公告

账户类别    投资连结保险产品                                                税延养老产品

日期          现金增利         优选全债         打新立稳         稳健配置         平衡增长         策略成长         积极成长         季季长红利       成长先锋         优势领航         盛世优选        盛世华彩         税延养老C

2021/7/1      15.6241          21.7716          15.4650          22.8069          15.0821          20.6146          19.5572          7.6739           53.9533          17.3558          11.4990         10.2623          10.9163

2021/7/2      15.6214          21.7256          15.3860          22.7618          14.9459          20.2549          19.1186          7.5295           52.8729          16.8767          11.4786         10.2442          10.9171

2021/7/5      15.6248          21.7317          15.3890          22.7652          14.9295          20.4225          18.9594          7.5535           53.1806          16.9351          11.4849         10.2494          10.9194

2021/7/6      15.6262          21.7401          15.3920          22.7637          14.9023          20.3672          18.8983          7.5592           52.8499          16.8466          11.4819         10.2476          10.9201

2021/7/7      15.6304          21.7788          15.4355          22.8035          14.9933          20.7383          19.1045          7.6242           53.7615          17.2434          11.4930         10.2608          10.9208

2021/7/8      15.6311          21.7879          15.4172          22.8083          14.9468          20.6901          19.2079          7.5657           53.4923          17.1760          11.4955         10.2595          10.9214

2021/7/9      15.6323          21.7976          15.4263          22.8135          14.9674          20.8533          19.1351          7.5704           53.4862          17.1519          11.4948         10.2587          10.9221

2021/7/12     15.6384          21.8413          15.4900          22.8565          15.0428          21.2214          19.4628          7.6289           54.4116          17.4772          11.5104         10.2740          10.9241

2021/7/13     15.6397          21.8580          15.5041          22.8702          15.1173          21.2647          19.5380          7.6623           54.5656          17.4876          11.5160         10.2791          10.9242

2021/7/14     15.6400          21.8487          15.4686          22.8552          15.0492          21.0551          19.3458          7.6239           54.0998          17.3343          11.5054         10.2670          10.9249

2021/7/15     15.6431          21.8792          15.5111          22.8878          15.1195          21.3625          19.3608          7.6986           54.6350          17.6481          11.5097         10.2733          10.9256

2021/7/16     15.6431          21.8779          15.4757          22.8875          15.0738          21.1063          19.1422          7.6591           54.1103          17.2183          11.5055         10.2758          10.9263

2021/7/19     15.6459          21.8743          15.4877          22.8867          15.0526          21.0286          19.0252          7.6576           54.0740          17.2923          11.5031         10.2747          10.9284

2021/7/20     15.6475          21.8702          15.4876          22.8889          15.0527          21.1774          19.0525          7.6428           54.1265          17.2563          11.5018         10.2850          10.9290

2021/7/21     15.6513          21.9154          15.5311          22.9278          15.1578          21.4973          19.2372          7.6936           55.0227          17.6441          11.5148         10.3072          10.9297

2021/7/22     15.6534          21.9480          15.5664          22.9492          15.1927          21.5196          19.2240          7.7155           55.1939          17.7349          11.5229         10.3212          10.9304

2021/7/23     15.6543          21.9479          15.5360          22.9411          15.1341          21.2796          18.7451          7.6565           54.5705          17.4578          11.5159         10.3065          10.9311

2021/7/26     15.6545          21.9010          15.4590          22.8944          14.9851          21.0223          18.2015          7.4728           53.5692          17.2385          11.4995         10.2857          10.9332

2021/7/27     15.6507          21.8170          15.3356          22.8046          14.7562          20.3349          17.3504          7.2954           51.9659          16.4758          11.4623         10.2368          10.9338

2010/7/28     15.6516          21.7951          15.3447          22.7909          14.7257          20.4840          17.5787          7.2434           52.0108          16.5917          11.4616         10.2188          10.9346

2021/7/29     15.6554          21.8611          15.4154          22.8677          14.9482          20.9112          18.1582          7.3589           53.5279          17.2509          11.4978         10.2579          10.9352

2021/7/30     15.6562          21.8824          15.4033          22.8699          14.9038          20.7738          17.7856          7.3309           53.2440          17.1793          11.4982         10.2550          10.9360

账户设立日    2001年5月15日    2001年5月15日    2001年9月18日    2005年3月25日    2007年5月18日    2007年5月18日    2007年5月18日    2010年6月25日    2015年3月16日    2010年6月25日    2018年6月9日    2020年12月2日    2018年6月25日

      本公司每一工作日进行各投资账户投资单位价值评估。本次公告(2021-8)仅反映投资账户2021年07月01日-2021年07月30日的投资单位价格,下一公告日为2021年9月2日。详情请查询中信保诚人寿全国服务电话:4008-838-838 或登陆公司网站:www.citic-prudential.com.cn。中信保诚人寿竭诚为您服务。                                                        

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