尊敬的投资者:
我行2022年第206-210期结构性存款符合产品成立标准,于相应日期开始运作,现对相关产品进行成立确认,具体如下:
序号 |
产品名称 |
产品编号人民币结构性存款 |
起息日 |
到期日 |
募集金额 |
挂钩标的 |
1 |
结构性存款YEP20221582 |
YEP20221582 |
2022/12/19 |
2023/01/18 |
¥17,100,000.00 |
AU9999.SGE |
2 |
结构性存款YEP20221583 |
YEP20221583 |
2022/12/19 |
2023/01/18 |
¥11,400,000.00 |
AU9999.SGE |
3 |
结构性存款YEP20221604 |
YEP20221604 |
2022/12/19 |
2023/06/15 |
¥9,000,000.00 |
AU9999.SGE |
4 |
结构性存款YEP20221605 |
YEP20221605 |
2022/12/19 |
2023/06/15 |
¥6,000,000.00 |
AU9999.SGE |
5 |
结构性存款YEP20221606 |
YEP20221606 |
2022/12/20 |
2023/03/20 |
¥6,000,000.00 |
AU9999.SGE |
6 |
结构性存款YEP20221607 |
YEP20221607 |
2022/12/20 |
2023/03/20 |
¥4,000,000.00 |
AU9999.SGE |
7 |
结构性存款YEP20221608 |
YEP20221608 |
2022/12/21 |
2023/02/27 |
¥7,800,000.00 |
AU9999.SGE |
8 |
结构性存款YEP20221609 |
YEP20221609 |
2022/12/21 |
2023/02/27 |
¥5,200,000.00 |
AU9999.SGE |
9 |
结构性存款YEP20221610 |
YEP20221610 |
2022/12/21 |
2023/06/20 |
¥40,200,000.00 |
AU9999.SGE |
10 |
结构性存款YEP20221611 |
YEP20221611 |
2022/12/21 |
2023/06/20 |
¥26,800,000.00 |
AU9999.SGE |
11 |
结构性存款YEP20221618 |
YEP20221618 |
2022/12/21 |
2023/03/21 |
¥42,000,000.00 |
AU9999.SGE |
12 |
结构性存款YEP20221619 |
YEP20221619 |
2022/12/21 |
2023/03/21 |
¥28,000,000.00 |
AU9999.SGE |
13 |
结构性存款YEP20221600 |
YEP20221600 |
2022/12/22 |
2023/02/02 |
¥11,466,000.00 |
AU9999.SGE |
14 |
结构性存款YEP20221601 |
YEP20221601 |
2022/12/22 |
2023/02/02 |
¥7,644,000.00 |
AU9999.SGE |
15 |
结构性存款YEP20221602 |
YEP20221602 |
2022/12/22 |
2023/03/09 |
¥13,800,000.00 |
AU9999.SGE |
16 |
结构性存款YEP20221603 |
YEP20221603 |
2022/12/22 |
2023/03/09 |
¥9,200,000.00 |
AU9999.SGE |
17 |
结构性存款YEP20221612 |
YEP20221612 |
2022/12/22 |
2023/06/20 |
¥14,040,000.00 |
AU9999.SGE |
18 |
结构性存款YEP20221613 |
YEP20221613 |
2022/12/22 |
2023/06/20 |
¥9,360,000.00 |
AU9999.SGE |
19 |
结构性存款YEP20221616 |
YEP20221616 |
2022/12/22 |
2023/02/21 |
¥11,400,000.00 |
AU9999.SGE |
20 |
结构性存款YEP20221617 |
YEP20221617 |
2022/12/22 |
2023/02/21 |
¥7,600,000.00 |
AU9999.SGE |
21 |
结构性存款YEP20221614 |
YEP20221614 |
2022/12/23 |
2023/06/20 |
¥12,000,000.00 |
AU9999.SGE |
22 |
结构性存款YEP20221615 |
YEP20221615 |
2022/12/23 |
2023/06/20 |
¥8,000,000.00 |
AU9999.SGE |
23 |
结构性存款YEP20221620 |
YEP20221620 |
2022/12/23 |
2023/03/31 |
¥21,000,000.00 |
AU9999.SGE |
24 |
结构性存款YEP20221621 |
YEP20221621 |
2022/12/23 |
2023/03/31 |
¥14,000,000.00 |
AU9999.SGE |
25 |
结构性存款YEP20221626 |
YEP20221626 |
2022/12/23 |
2023/01/31 |
¥18,000,000.00 |
AU9999.SGE |
26 |
YEP20221627 |
YEP20221627 |
2022/12/23 |
2023/01/31 |
¥12,000,000.00 |
AU9999.SGE |
27 |
YEP20221628 |
YEP20221628 |
2022/12/23 |
2023/01/30 |
¥108,000,000.00 |
AU9999.SGE |
28 |
YEP20221629 |
YEP20221629 |
2022/12/23 |
2023/01/30 |
¥72,000,000.00 |
AU9999.SGE |
特此公告。
江苏昆山农村商业银行股份有限公司
2022年12月23日