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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

2021/4/1      15.5277          21.5404          15.2922          22.5092          14.8082          19.8054          19.1210          7.5131           50.2866          16.3514          11.3373         10.1596          10.8605

2021/4/2      15.5295          21.5453          15.3209          22.5287          14.8337          19.8979          19.2339          7.5411           50.6540          16.4799          11.3430         10.1627          10.8622

2021/4/6      15.5329          21.5519          15.3197          22.5298          14.8467          19.8492          19.1814          7.5212           50.5380          16.3981          11.3454         10.1634          10.8644

2021/4/7      15.5327          21.5375          15.2889          22.5189          14.7988          19.8095          19.0306          7.4932           50.2333          16.2745          11.3434         10.1608          10.8653

2021/4/8      15.5340          21.5389          15.2950          22.5227          14.8007          19.8458          19.0567          7.5045           50.4524          16.3269          11.3437         10.1629          10.8656

2021/4/9      15.5329          21.5197          15.2590          22.5022          14.7117          19.7197          18.7312          7.4428           49.9172          16.0977          11.3344         10.1573          10.8662

2021/4/12     15.5334          21.4873          15.1952          22.4685          14.5801          19.5758          18.4595          7.3598           48.9083          15.8866          11.3214         10.1507          10.8674

2021/4/13     15.5350          21.4917          15.2147          22.4665          14.5750          19.5746          18.3734          7.3431           48.9074          15.8579          11.3201         10.1533          10.8677

2021/4/14     15.5369          21.5144          15.2434          22.4865          14.6634          19.7162          18.5312          7.3795           49.4198          15.9690          11.3385         10.1582          10.8677

2021/4/15     15.5374          21.5172          15.2454          22.4873          14.6539          19.6485          18.4265          7.3477           49.2474          15.8589          11.3351         10.1579          10.8686

2021/4/16     15.5385          21.5291          15.2505          22.4929          14.6663          19.6515          18.5744          7.3791           49.3512          15.8453          11.3444         10.1600          10.8689

2021/4/19     15.5440          21.5762          15.3262          22.5318          14.8252          19.8856          18.8115          7.4669           50.3373          16.1424          11.3669         10.1737          10.8692

2021/4/20     15.5459          21.5890          15.3395          22.5436          14.8488          19.8788          18.7569          7.4610           50.3830          16.1887          11.3684         10.1762          10.8694

2021/4/21     15.5475          21.5915          15.3517          22.5535          14.8387          19.9118          18.6562          7.4785           50.4926          16.2864          11.3678         10.1808          10.8697

2021/4/22     15.5486          21.6023          15.3537          22.5643          14.8782          19.8841          18.7709          7.4850           50.6282          16.2453          11.3709         10.1815          10.8704

2021/4/23     15.5508          21.6141          15.3926          22.5782          14.9431          19.9487          18.9503          7.5192           51.0290          16.3945          11.3759         10.1823          10.8711

2021/4/26     15.5516          21.6058          15.3689          22.5672          14.8971          19.8201          18.9953          7.4610           50.7406          16.2777          11.3679         10.1799          10.8731

2021/4/27     15.5524          21.6054          15.3791          22.5726          14.8927          19.8701          19.0173          7.4743           50.8970          16.3440          11.3701         10.1841          10.8731

2021/4/28     15.5552          21.6174          15.3974          22.5877          14.9332          19.9028          19.0003          7.5083           51.2545          16.4283          11.3729         10.1888          10.8744

2021/4/29     15.5570          21.6285          15.4107          22.5958          14.9438          19.9890          19.0558          7.5421           51.4538          16.5118          11.3769         10.1942          10.8751

2021/4/30     15.5580          21.6253          15.3861          22.5910          14.9149          19.9623          18.9003          7.4973           51.3199          16.4599          11.3702         10.1923          10.8758

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(2021-5)仅反映投资账户2021年04月01日-2021年04月30日的投资单位价格,下一公告日为2021年6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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