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昆山农商银行2022年第29-33期结构性存款发行报告

  尊敬的投资者:

  我行2022年第29-33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

产品编号人民币理财产品

起息日

到期日

募集金额

挂钩标的

1

结构性存款YEP20220307

YEP20220307

2022/02/28

2022/03/30

¥19,200,000.00

AU9999.SGE

2

结构性存款YEP20220308

YEP20220308

2022/02/28

2022/03/30

¥12,800,000.00

AU9999.SGE

3

结构性存款YEP20220299

YEP20220299

2022/03/01

2022/03/31

¥32,376,000.00

AU9999.SGE

4

结构性存款YEP20220300

YEP20220300

2022/03/01

2022/03/31

¥21,584,000.00

AU9999.SGE

5

结构性存款YEP20220309

YEP20220309

2022/03/01

2022/04/29

¥12,000,000.00

AU9999.SGE

6

结构性存款YEP20220310

YEP20220310

2022/03/01

2022/04/29

¥8,000,000.00

AU9999.SGE

7

结构性存款YEP20220311

YEP20220311

2022/03/01

2022/04/12

¥6,000,000.00

AU9999.SGE

8

结构性存款YEP20220312

YEP20220312

2022/03/01

2022/04/12

¥4,000,000.00

AU9999.SGE

9

结构性存款YEP20220313

YEP20220313

2022/03/02

2022/09/02

¥12,000,000.00

AU9999.SGE

10

结构性存款YEP20220314

YEP20220314

2022/03/02

2022/09/02

¥8,000,000.00

AU9999.SGE

11

结构性存款YEP20220315

YEP20220315

2022/03/02

2022/04/01

¥6,000,000.00

AU9999.SGE

12

结构性存款YEP20220316

YEP20220316

2022/03/02

2022/04/01

¥4,000,000.00

AU9999.SGE

13

结构性存款YEP20220317

YEP20220317

2022/03/02

2022/04/06

¥6,000,000.00

AU9999.SGE

14

结构性存款YEP20220318

YEP20220318

2022/03/02

2022/04/06

¥4,000,000.00

AU9999.SGE

15

结构性存款YEP20220319

YEP20220319

2022/03/03

2022/08/31

¥6,000,000.00

AU9999.SGE

16

结构性存款YEP20220320

YEP20220320

2022/03/03

2022/08/31

¥4,000,000.00

AU9999.SGE

17

结构性存款YEP20220321

YEP20220321

2022/03/03

2022/06/28

¥12,000,000.00

AU9999.SGE

18

结构性存款YEP20220322

YEP20220322

2022/03/03

2022/06/28

¥8,000,000.00

AU9999.SGE

19

结构性存款YEP20220323

YEP20220323

2022/03/03

2022/04/29

¥9,000,000.00

AU9999.SGE

20

结构性存款YEP20220324

YEP20220324

2022/03/03

2022/04/29

¥6,000,000.00

AU9999.SGE

21

结构性存款YEP20220325

YEP20220325

2022/03/03

2022/04/07

¥12,000,000.00

AU9999.SGE

22

结构性存款YEP20220326

YEP20220326

2022/03/03

2022/04/07

¥8,000,000.00

AU9999.SGE

23

结构性存款YEP20220301

YEP20220301

2022/03/04

2022/04/06

¥53,814,000.00

AU9999.SGE

24

结构性存款YEP20220302

YEP20220302

2022/03/04

2022/04/06

¥35,876,000.00

AU9999.SGE

25

结构性存款YEP20220327

YEP20220327

2022/03/04

2022/09/01

¥6,000,000.00

AU9999.SGE

26

结构性存款YEP20220328

YEP20220328

2022/03/04

2022/09/01

¥4,000,000.00

AU9999.SGE

27

结构性存款YEP20220333

YEP20220333

2022/03/04

2022/05/05

¥48,000,000.00

AU9999.SGE

28

结构性存款YEP20220334

YEP20220334

2022/03/04

2022/05/05

¥32,000,000.00

AU9999.SGE

29

结构性存款YEP20220335

YEP20220335

2022/03/04

2022/04/07

¥6,000,000.00

AU9999.SGE

30

结构性存款YEP20220336

YEP20220336

2022/03/04

2022/04/07

¥4,000,000.00

AU9999.SGE

31

结构性存款YEP20220337

YEP20220337

2022/03/04

2022/09/30

¥24,000,000.00

AU9999.SGE

32

结构性存款YEP20220338

YEP20220338

2022/03/04

2022/09/30

¥16,000,000.00

AU9999.SGE

33

结构性存款YEP20220339

YEP20220339

2022/03/04

2022/05/06

¥18,000,000.00

AU9999.SGE

34

结构性存款YEP20220340

YEP20220340

2022/03/04

2022/05/06

¥12,000,000.00

AU9999.SGE

35

结构性存款YEP20220341

YEP20220341

2022/03/04

2022/05/17

¥15,000,000.00

AU9999.SGE

36

结构性存款YEP20220342

YEP20220342

2022/03/04

2022/05/17

¥10,000,000.00

AU9999.SGE

  特此公告。

  江苏昆山农村商业银行股份有限公司

  2022年3月4日

江苏昆山农村商业银行股份有限公司

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