產(chǎn)品編號(hào) | 產(chǎn)品預(yù)期收益率 | 募集總金額(萬元) | 其中投資衍生品部分上期估值(元) | 其中投資衍生品部分本期估值(元) | 估值較上期變動(dòng)變動(dòng)損益(元) | 2307040001 | 1.50%-2.58% | ¥18,808,000.0000 | 203668.55 | 203679.44 | ¥10.89 | 2307040002 | 1.70%-2.78% | ¥25,800,000.0000 | 279383.70 | 279398.64 | ¥14.94 | 2307040003 | 1.70%-2.78% | ¥5,036,000.0000 | 54533.97 | 54536.88 | ¥2.92 | 2307140001 | 1.70%-2.78% | ¥3,375,000.0000 | 36341.46 | 36332.95 | ¥-8.51 | 2307240001 | 1.70%-2.78% | ¥1,698,000.0000 | 18384.46 | 18373.21 | ¥-11.25 | 2307280001 | 1.70%-2.78% | ¥13,200,000.0000 | 142151.57 | 142132.51 | ¥-19.06 | 2308020001 | 1.50%-2.58% | ¥19,881,000.0000 | 215268.70 | 215195.96 | ¥-72.73 | 2308020002 | 1.70%-2.78% | ¥26,990,000.0000 | 292243.96 | 292145.21 | ¥-98.74 | 2308020003 | 1.70%-2.78% | ¥3,918,000.0000 | 42423.56 | 42409.22 | ¥-14.33 | 2308160001 | 1.70%-2.78% | ¥9,043,000.0000 | 97916.55 | 97920.69 | ¥4.14 | 2308280001 | 1.40%-2.48% | ¥43,008,000.0000 | 465673.17 | 465686.33 | ¥13.16 | 2308280002 | 1.50%-2.58% | ¥32,238,000.0000 | 349059.98 | 349069.85 | ¥9.87 | 2308280003 | 1.50%-2.58% | ¥5,251,000.0000 | 56855.70 | 56857.30 | ¥1.61 | 2309130001 | 1.40%-2.48% | ¥29,670,000.0000 | 321162.60 | 321061.27 | ¥-101.33 | 2309130002 | 1.50%-2.58% | ¥20,000,000.0000 | 216489.79 | 216421.48 | ¥-68.31 | 2309130003 | 1.50%-2.58% | ¥5,015,000.0000 | 54284.81 | 54267.69 | ¥-17.13 | 2309260001 | 1.40%-2.48% | ¥29,759,000.0000 | 321603.97 | 321982.76 | ¥378.79 | 2309260002 | 1.50%-2.58% | ¥19,900,000.0000 | 215058.27 | 215311.57 | ¥253.30 | 2309260003 | 1.50%-2.58% | ¥6,287,000.0000 | 67943.28 | 68023.31 | ¥80.02 | 2310090001 | 1.40%-2.48% | ¥28,033,000.0000 | 302258.44 | 303099.04 | ¥840.60 | 2310090002 | 1.50%-2.58% | ¥8,263,000.0000 | 89093.62 | 89341.40 | ¥247.78 | 2310090003 | 1.50%-2.58% | ¥2,591,000.0000 | 27936.77 | 28014.47 | ¥77.69 | 2310160003 | 1.40%-2.48% | ¥10,290,000.0000 | 110751.56 | 111192.89 | ¥441.33 | 2311060001 | 1.30%-2.38% | ¥29,485,000.0000 | 317794.87 | 317654.49 | ¥-140.38 | 2311060002 | 1.30%-2.38% | ¥170,000.0000 | 1832.29 | 1831.48 | ¥-0.81 | 2311130001 | 1.30%-2.38% | ¥16,959,000.0000 | 182097.30 | 182381.58 | ¥284.28 | 2311130002 | 1.30%-2.38% | ¥300,000.0000 | 3221.25 | 3226.28 | ¥5.03 | 2311200001 | 1.30%-2.38% | ¥22,768,000.0000 | 244802.36 | 243373.28 | ¥-1,429.08 | 2311290001 | 1.30%-2.38% | ¥17,633,000.0000 | 188724.88 | 186733.96 | ¥-1,990.92 | 2312060001 | 1.30%-2.38% | ¥14,778,000.0000 | 158052.66 | 157746.60 | ¥-306.06 | 2312180001 | 1.30%-2.38% | ¥19,106,000.0000 | 152254.69 | 203510.40 | ¥51,255.71 | 2312270001 | 1.30%-2.38% | ¥24,304,000.0000 | 238311.42 | 235198.00 | ¥-3,113.42 | 持倉風(fēng)險(xiǎn):結(jié)構(gòu)性存款有投資風(fēng)險(xiǎn),只保障產(chǎn)品認(rèn)購資金和相應(yīng)產(chǎn)品說明書中承諾的保底收益率,不保證高于保底收益率的產(chǎn)品收益,客戶應(yīng)充分認(rèn)識(shí)投資風(fēng)險(xiǎn),謹(jǐn)慎投資。 (一)市場風(fēng)險(xiǎn):如果在結(jié)構(gòu)性存款運(yùn)行期間,市場未按照結(jié)構(gòu)性存款成立之初預(yù)期運(yùn)行甚至反預(yù)期運(yùn)行,客戶可能無法獲取預(yù)期收益,甚至可能出現(xiàn)零收益; (二)流動(dòng)性風(fēng)險(xiǎn):產(chǎn)品期限內(nèi),除非另有約定,投資結(jié)構(gòu)性存款的客戶不能提前終止或贖回; (三)政策風(fēng)險(xiǎn):因法規(guī)、規(guī)章或政策的原因,對(duì)結(jié)構(gòu)性存款本金及收益產(chǎn)生不利影響的風(fēng)險(xiǎn); (四)技術(shù)風(fēng)險(xiǎn):因?yàn)榧夹g(shù)系統(tǒng)的故障或者差錯(cuò)而影響業(yè)務(wù)的正常進(jìn)行或者導(dǎo)致客戶的利益受到影響; (五)不可抗力及其他風(fēng)險(xiǎn):指由于自然災(zāi)害、戰(zhàn)爭、重大政治事件等不可抗力以及其他不可預(yù)見的意外事件(包括但不限于通訊、網(wǎng)絡(luò)、系統(tǒng)故障等因素)可能致使結(jié)構(gòu)性存款面臨損失的任何風(fēng)險(xiǎn)。 | 風(fēng)險(xiǎn)控制措施:本行針對(duì)結(jié)構(gòu)性存款業(yè)務(wù)的性質(zhì)和風(fēng)險(xiǎn)特征,制定和實(shí)施相應(yīng)的風(fēng)險(xiǎn)管理政策和程序,持續(xù)有效地識(shí)別、計(jì)量、監(jiān)測和控制結(jié)構(gòu)性存款業(yè)務(wù)面臨的各類風(fēng)險(xiǎn),并將結(jié)構(gòu)性存款業(yè)務(wù)風(fēng)險(xiǎn)管理納入全面風(fēng)險(xiǎn)管理體系。嚴(yán)格按照中國銀保監(jiān)會(huì)發(fā)布的《關(guān)于進(jìn)一步規(guī)范商業(yè)銀行結(jié)構(gòu)性存款業(yè)務(wù)的通知》(銀保監(jiān)辦發(fā)〔2019〕204號(hào))相關(guān)規(guī)定執(zhí)行,充分揭示風(fēng)險(xiǎn),實(shí)施專區(qū)銷售和錄音錄像。銷售文本全面、客觀反映結(jié)構(gòu)性存款的重要特性和與產(chǎn)品有關(guān)的重要事實(shí),向投資者充分揭示風(fēng)險(xiǎn),確保投資者了解結(jié)構(gòu)性存款的產(chǎn)品性質(zhì)和潛在風(fēng)險(xiǎn),自主進(jìn)行投資決策。 |
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