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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

2021/6/1      15.5958          21.7722          15.4887          22.7445          15.1035          20.4868          19.8749          7.6799           53.5407          17.1484          11.4481         10.2483          10.8965

2021/6/2      15.5960          21.7578          15.4733          22.7315          15.0537          20.3778          19.6572          7.6274           53.0596          17.0262          11.4454         10.2471          10.8972

2021/6/3      15.5959          21.7520          15.4479          22.7226          14.9864          20.2447          19.6554          7.6092           52.8091          16.8727          11.4400         10.2443          10.8979

2021/6/4      15.5979          21.7564          15.4570          22.7345          14.9970          20.3318          19.7145          7.6475           53.1554          16.9541          11.4485         10.2464          10.8986

2021/6/7      15.5990          21.7504          15.4457          22.7310          14.9606          20.2902          19.6355          7.6385           53.1772          16.9613          11.4445         10.2460          10.9006

2021/6/8      15.5982          21.7291          15.4202          22.7110          14.9245          20.1535          19.4433          7.5962           52.6923          16.7809          11.4442         10.2453          10.9013

2021/6/9      15.5993          21.7369          15.4263          22.7093          14.9242          20.1965          19.4516          7.6187           52.8358          16.7607          11.4473         10.2453          10.9020

2021/6/10     15.6015          21.7587          15.4445          22.7275          14.9756          20.3441          19.6288          7.6599           53.2839          16.9638          11.4588         10.2467          10.9021

2021/6/11     15.6021          21.7561          15.4282          22.7213          14.9531          20.3246          19.5800          7.6174           53.0012          16.8055          11.4574         10.2444          10.9027

2021/6/15     15.6033          21.7375          15.3996          22.7045          14.9036          20.1736          19.5299          7.5435           52.6659          16.6862          11.4569         10.2431          10.9055

2021/6/16     15.6004          21.6876          15.3519          22.6600          14.7554          19.8668          19.0628          7.4621           51.5888          16.3732          11.4349         10.2391          10.9056

2021/6/17     15.6016          21.6926          15.3549          22.6681          14.7952          19.9555          19.2249          7.4887           52.0821          16.5277          11.4443         10.2418          10.9063

2021/6/18     15.6028          21.7014          15.3518          22.6760          14.8291          20.0087          19.3897          7.4865           52.3947          16.5882          11.4576         10.2438          10.9069

2021/6/21     15.6059          21.7222          15.3537          22.6951          14.8607          19.9910          19.5143          7.4688           52.5895          16.6968          11.4666         10.2469          10.9090

2021/6/22     15.6080          21.7423          15.3820          22.7104          14.8629          20.0731          19.4816          7.5134           52.8478          16.8103          11.4719         10.2483          10.9097

2021/6/23     15.6108          21.7621          15.3982          22.7319          14.9439          20.2241          19.4465          7.5537           53.1582          16.9397          11.4911         10.2521          10.9104

2021/6/24     15.6125          21.7726          15.4134          22.7378          14.9773          20.202           19.465           7.5544           52.9577          16.9135          11.491          10.2469          10.9111

2021/6/25     15.6167          21.8057          15.4590          22.7685          15.0537          20.4679          19.7331          7.6566           53.6534          17.1015          11.5013         10.2586          10.9118

2021/6/28     15.6195          21.7639          15.4650          22.7848          15.0754          20.5027          19.7394          7.6519           53.8768          17.2290          11.5053         10.2638          10.9140

2021/6/29     15.6195          21.7486          15.4316          22.7759          15.0529          20.5456          19.6012          7.5996           53.6295          17.2175          11.4976         10.2574          10.9148

2021/6/30     15.6225          21.7696          15.4609          22.8037          15.0974          20.6860          19.5979          7.6629           54.0530          17.4259          11.5000         10.2669          10.9155

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(2021-7)仅反映投资账户2021年06月01日-2021年06月30日的投资单位价格,下一公告日为2021年8月3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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