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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        税延养老C

2020/11/2     15.3897          21.2191          14.7765          22.2422          14.6072          18.5890          17.8026          7.0873           47.1126          15.3069          11.1436         10.7604

2020/11/3     15.3911          21.2342          14.7967          22.2719          14.6614          18.6531          17.8326          7.1637           47.4883          15.3900          11.1568         10.7614

2020/11/4     15.3931          21.2457          14.8210          22.2918          14.6917          18.6528          17.9845          7.1903           47.7893          15.4982          11.1675         10.7617

2020/11/5     15.3954          21.2843          14.8601          22.3394          14.8181          18.8687          18.3797          7.2854           48.4956          15.7248          11.1879         10.7652

2020/11/6     15.3964          21.2701          14.8445          22.3288          14.7912          18.8093          18.3483          7.2746           48.1942          15.5894          11.1826         10.7659

2020/11/9     15.3999          21.2984          14.8712          22.3744          14.9149          19.0333          18.5858          7.3932           48.9006          15.8208          11.2022         10.7669

2020/11/10    15.3997          21.2969          14.8619          22.3656          14.8402          18.8680          18.2337          7.3317           48.5292          15.7705          11.1941         10.7661

2020/11/11    15.3997          21.2758          14.8631          22.3403          14.7364          18.5187          17.7388          7.2798           47.8222          15.5577          11.1802         10.7654

2020/11/12    15.3997          21.2682          14.8633          22.3478          14.7656          18.6444          18.0635          7.2818           48.0507          15.6534          11.1844         10.7657

2020/11/13    15.3990          21.2224          14.8234          22.3096          14.6989          18.5927          18.1869          7.2154           47.8107          15.5819          11.1780         10.7664

2020/11/16    15.4023          21.2300          14.8407          22.3348          14.7477          18.6626          18.3356          7.2736           48.1723          15.6144          11.1867         10.7693

2020/11/17    15.4033          21.2102          14.8346          22.3283          14.7067          18.4487          18.1575          7.2638           47.8227          15.4373          11.1879         10.7707

2020/11/18    15.4035          21.1932          14.8274          22.3094          14.6900          18.3362          18.0570          7.2612           47.5767          15.2648          11.1909         10.7696

2020/11/19    15.4040          21.1899          14.8349          22.3134          14.7427          18.4776          18.0829          7.3101           47.9293          15.4489          11.1928         10.7696

2020/11/20    15.4051          21.1917          14.8372          22.3237          14.7709          18.5351          18.3028          7.3339           48.2347          15.5767          11.1990         10.7717

2020/11/23    15.4096          21.2185          14.8691          22.3472          14.8373          18.7152          18.4364          7.4078           48.5639          15.7079          11.2082         10.7738

2020/11/24    15.4100          21.2089          14.8535          22.3354          14.7863          18.6895          18.3420          7.3702           48.3659          15.5230          11.2061         10.7763

2020/11/25    15.4102          21.1902          14.8118          22.2574          14.6716          18.4893          18.0146          7.2902           47.5435          15.2406          11.1963         10.7763

2020/11/26    15.4115          21.1912          14.8214          22.2599          14.6823          18.4039          18.0512          7.2975           47.5094          15.2105          11.1998         10.7760

2020/11/27    15.4137          21.2115          14.8561          22.3260          14.7505          18.4788          18.2167          7.3769           47.8663          15.2574          11.2085         10.7785

2020/11/30    15.4166          21.2195          14.8283          22.3190          14.7258          18.4665          18.2027          7.3450           47.6347          15.2338          11.2056         10.7818

账户设立日    2005年3月25日    2001年5月15日    2010年6月25日    2001年5月15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    2001年9月18日    2015年3月16日    2018年6月9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(2020-120)仅反映投资账户2020年11月01日-2020年11月30日的投资单位价格,下一公告日为2021年1月04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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