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悦盈系列一年定开002期2024年第4季度暨年度报告
发布时间:2025-01-16 09:00:00

一、产品基本情况

产品名称

“海西·源泉”悦盈系列一年定开净值型理财产品002期

产品编码

YYJZNDK002

全国银行业理财信息登记系统登记编码

C1082319000011

发行方式

公募

产品类型

固定收益类-非保本浮动收益开放式净值型

报告期末产品存续份额

A份额:36,371,000.00份

A1份额:17,018,700.00份

A2份额:32,891,000.00份

A3份额:4,749,000.00份

A4份额:6,345,000.00份

A5份额:10,526,000.00份

A6份额:9,525,000.00份

A7份额:11,869,000.00份

A8份额:4,207,000.00

A9份额:3,757,000.00

B份额:51,588,504.01

B1份额:1,207,000.00

B2份额:1,494,000.00

B3份额:1,507,000.00

B4份额:3,247,000.00

B5份额:674,000.00

B6份额:1,001,000.00

B7份额:362,000.00

B8份额:658,000.00

B9份额:6,576,000.00份

C份额:8,873,000.00

D份额:25,552,535.00

E份额:36,721,000.00份

F份额:43,009,300.10份

G份额:23,741,400.00份

H份额:17,308,000.00份

I份额:14,457,000.00份

J份额:12,210,000.00份

K份额:14,844,000.00份

L份额:12,641,000.00份

M份额:21,774,000.00份

N份额:13,542,000.00

O份额:16,955,289.00

P份额:6,381,000.00

Q份额:5,020,000.00

R份额:7,590,000.00

S份额:4,776,000.00

T份额:11,107,000.00

U份额:20,207,000.00

V份额:1,825,000.00

W份额:71,353,000.00份

X份额:29,848,000.00份

Y份额:45,783,160.00份

Z份额:40,594,000.00份

管理人

泉州银行股份有限公司

托管人

招商银行股份有限公司

报告期

202410月1日-202412月31

20241月1日-202412月31

二、报告期间产品申赎情况

报告期

份额

期初产品份额

申购份额

赎回份额

期末产品份额

2024/10/1-2024/12/31

A份额

36,371,000.00

-

-

36,371,000.00

A1份额

17,018,700.00

-

-

17,018,700.00

A2份额

32,891,000.00

-

-

32,891,000.00

A3份额

4,749,000.00

-

-

4,749,000.00

A4份额

6,345,000.00

-

-

6,345,000.00

A5份额

10,526,000.00

-

-

10,526,000.00

A6份额

9,525,000.00

-

-

9,525,000.00

A7份额

11,869,000.00

-

-

11,869,000.00

A8份额

4,207,000.00

-

-

4,207,000.00

A9份额

3,757,000.00

-

-

3,757,000.00

B份额

71,797,202.01

2,345,000.00

22,553,698.00

51,588,504.01

B1份额

1,207,000.00

-

-

1,207,000.00

B2份额

1,494,000.00

-

-

1,494,000.00

B3份额

1,507,000.00

-

-

1,507,000.00

B4份额

3,247,000.00

-

-

3,247,000.00

B5份额

674,000.00

-

-

674,000.00

B6份额

3,027,000.00

-

2,026,000.00

1,001,000.00

B7份额

1,536,000.00

100,000.00

1,274,000.00

362,000.00

B8份额

558,000.00

260,000.00

160,000.00

658,000.00

B9份额

6,576,000.00

-

-

6,576,000.00

C份额

11,275,000.00

200,000.00

2,602,000.00

8,873,000.00

D份额

34,960,605.00

613,000.00

10,021,070.00

25,552,535.00

E份额

36,721,000.00

-

-

36,721,000.00

F份额

43,009,300.10

-

-

43,009,300.10

G份额

23,741,400.00

-

-

23,741,400.00

H份额

17,308,000.00

-

-

17,308,000.00

I份额

14,457,000.00

-

-

14,457,000.00

J份额

12,210,000.00

-

-

12,210,000.00

K份额

14,844,000.00

-

-

14,844,000.00

L份额

12,641,000.00

-

-

12,641,000.00

M份额

21,774,000.00

-

-

21,774,000.00

N份额

13,542,000.00

-

-

13,542,000.00

O份额

16,955,289.00

-

-

16,955,289.00

P份额

6,381,000.00

-

-

6,381,000.00

Q份额

5,020,000.00

-

-

5,020,000.00

R份额

7,590,000.00

-

-

7,590,000.00

S份额

4,776,000.00

-

-

4,776,000.00

T份额

18,119,000.00

-

7,012,000.00

11,107,000.00

U份额

42,206,000.00

644,000.00

22,643,000.00

20,207,000.00

V份额

2,574,000.00

679,000.00

1,428,000.00

1,825,000.00

W份额

71,353,000.00

-

-

71,353,000.00

X份额

29,848,000.00

-

-

29,848,000.00

Y份额

45,783,160.00

-

-

45,783,160.00

Z份额

40,594,000.00

-

-

40,594,000.00

2024/1/1-2024/12/31

A份额

36,371,000.00

-

-

36,371,000.00

A1份额

23,227,000.00

3,005,000.00

9,213,300.00

17,018,700.00

A2份额

13,955,000.00

25,842,000.00

6,906,000.00

32,891,000.00

A3份额

2,158,000.00

3,582,000.00

991,000.00

4,749,000.00

A4份额

9,961,000.00

1,470,000.00

5,086,000.00

6,345,000.00

A5份额

14,222,000.00

1,517,000.00

5,213,000.00

10,526,000.00

A6份额

16,566,000.00

2,098,000.00

9,139,000.00

9,525,000.00

A7份额

16,770,000.00

3,975,000.00

8,876,000.00

11,869,000.00

A8份额

5,314,000.00

2,312,000.00

3,419,000.00

4,207,000.00

A9份额

3,485,000.00

1,423,000.00

1,151,000.00

3,757,000.00

B份额

71,797,202.01

2,345,000.00

22,553,698.00

51,588,504.01

B1份额

2,654,000.00

557,000.00

2,004,000.00

1,207,000.00

B2份额

1,156,000.00

764,000.00

426,000.00

1,494,000.00

B3份额

2,138,000.00

820,000.00

1,451,000.00

1,507,000.00

B4份额

3,269,000.00

1,594,000.00

1,616,000.00

3,247,000.00

B5份额

1,088,000.00

-

414,000.00

674,000.00

B6份额

3,027,000.00

-

2,026,000.00

1,001,000.00

B7份额

1,536,000.00

100,000.00

1,274,000.00

362,000.00

B8份额

558,000.00

260,000.00

160,000.00

658,000.00

B9份额

-

6,576,000.00

-

6,576,000.00

C份额

11,275,000.00

200,000.00

2,602,000.00

8,873,000.00

D份额

34,960,605.00

613,000.00

10,021,070.00

25,552,535.00

E份额

33,794,000.00

24,285,000.00

21,358,000.00

36,721,000.00

F份额

30,159,000.10

24,518,000.00

11,667,700.00

43,009,300.10

G份额

28,037,000.00

9,590,000.00

13,885,600.00

23,741,400.00

H份额

21,617,000.00

4,543,000.00

8,852,000.00

17,308,000.00

I份额

16,440,000.00

3,038,000.00

5,021,000.00

14,457,000.00

J份额

18,611,000.00

2,061,000.00

8,462,000.00

12,210,000.00

K份额

23,127,000.00

970,000.00

9,253,000.00

14,844,000.00

L份额

13,919,000.00

2,861,000.00

4,139,000.00

12,641,000.00

M份额

25,808,000.00

5,808,000.00

9,842,000.00

21,774,000.00

N份额

20,872,000.00

1,510,000.00

8,840,000.00

13,542,000.00

O份额

23,648,000.00

350,000.00

7,042,711.00

16,955,289.00

P份额

12,084,000.00

1,667,000.00

7,370,000.00

6,381,000.00

Q份额

6,180,000.00

1,068,000.00

2,228,000.00

5,020,000.00

R份额

7,232,000.00

2,494,000.00

2,136,000.00

7,590,000.00

S份额

5,694,000.00

514,000.00

1,432,000.00

4,776,000.00

T份额

18,119,000.00

-

7,012,000.00

11,107,000.00

U份额

42,206,000.00

644,000.00

22,643,000.00

20,207,000.00

V份额

2,574,000.00

679,000.00

1,428,000.00

1,825,000.00

W份额

11,185,000.00

67,216,000.00

7,048,000.00

71,353,000.00

X份额

2,670,000.00

28,528,000.00

1,350,000.00

29,848,000.00

Y份额

20,684,000.00

36,368,000.00

11,268,840.00

45,783,160.00

Z份额

19,457,000.00

34,363,000.00

13,226,000.00

40,594,000.00

三、期末产品收益表现

估值日期

份额

产品资产净值

产品份额净值

产品累计净值

2024/12/31

A份额

37,451,255.85

1.029701

1.18178

A1份额

17,404,100.32

1.022646

1.060213

A2份额

33,495,004.09

1.018364

1.053933

A3份额

4,831,689.25

1.017412

1.051951

A4份额

6,444,398.8

1.015666

1.05047

A5份额

10,685,070.39

1.015112

1.047105

A6份额

9,663,355.48

1.014526

1.046531

A7份额

12,035,235.85

1.014006

1.045956

A8份额

4,259,018.6

1.012365

1.044232

A9份额

3,801,458.91

1.011834

1.043655

B份额

51,887,523.06

1.005796

1.10625

B1份额

1,220,030.33

1.010796

1.042505

B2份额

1,508,615.09

1.009783

1.041352

B3份额

1,520,196.4

1.008757

1.040199

B4份额

3,273,820.73

1.00826

1.039623

B5份额

678,897.46

1.007266

1.03847

B6份额

1,006,741.63

1.005736

1.03733

B7份额

363,715.13

1.004738

1.035587

B8份额

660,408.88

1.003661

1.034434

B9份额

6,699,560.13

1.01879

1.01879

C份额

8,901,749.41

1.00324

1.105168

D份额

25,565,938.75

1.000525

1.104934

E份额

37,778,686.98

1.028803

1.089561

F份额

44,159,102.47

1.026734

1.085784

G份额

24,298,540.78

1.023467

1.078544

H份额

17,693,687.79

1.022284

1.076884

I份额

14,771,315.89

1.021741

1.075552

J份额

12,468,393.52

1.021162

1.074998

K份额

15,148,850.59

1.020537

1.074297

L份额

12,892,531.47

1.019898

1.073573

M份额

22,131,494.22

1.016418

1.073425

N份额

13,725,406.3

1.013544

1.068811

O份额

17,176,625.32

1.013054

1.068145

P份额

6,453,977.11

1.011437

1.06921

Q份额

5,072,343.49

1.010427

1.069925

R份额

7,661,454.75

1.009414

1.065764

S份额

4,811,123.94

1.007354

1.064356

T份额

11,171,378.8

1.005796

1.062482

U份额

20,293,040.14

1.004258

1.059823

V份额

1,828,919.84

1.002148

1.05653

W份额

73,499,791.23

1.030087

1.067578

X份额

30,725,404.21

1.029396

1.065799

Y份额

47,065,766.39

1.028015

1.068207

Z份额

41,647,287.53

1.025947

1.063069

备注:根据《商业银行理财业务监管管理办法》有关规定,产品份额净值、份额累计净值和资产净值等数据以报告期内最后一个市场交易日为披露口径。

四、期末投资组合情况

(一)报告期末资产组合情况

报告期末,本产品直接投资于现金及银行存款、债券等资产,投资资产类型及投资比例如下表所示:

资产类型

资产规模(万元)

占比

现金及银行存款

现金及银行存款

733.04

733.04

0.98%

债券

国债

49,351.01

1,068.71

1.43%

政策性金融债券

4,083.27

5.48%

商业性金融债券

43,379.03

58.18%

资产支持证券

820.00

1.10%

基金

债券基金

24,481.86

22,863.26

30.66%

股票基金

651.53

0.87%

混合基金

967.08

1.30%

合计

74,565.92

74,565.92

100.00%

投资前十大持仓资产明细如下表所示:

序号

资产名称

资产规模(万元)

占净资产比例

1

中银中短债A

 7,089.82

9.77%

2

21海峡银行永续债

 5,319.80

7.33%

3

21绍兴银行永续债

 5,311.54

7.32%

4

21通商银行永续债02

 5,293.72

7.29%

5

21嘉兴银行永续债

 5,272.32

7.26%

6

21上饶银行永续债01

 5,269.81

7.26%

7

20兰州银行永续债

 5,114.52

7.05%

8

23汉口银行二级资本债01

 4,429.76

6.10%

9

20日照银行永续债02

 4,113.03

5.67%

10

22进出03

 4,083.27

5.63%

(二)报告期末杠杆情况

报告期末本产品杠杆水平为102.73%,即产品总资产未超过净资产规模的140%,符合产品协议对杠杆比例的要求。

(三)报告期末投资组合的流动性风险分析

流动性风险是指在产品存续期内如果投资者产生流动性需求,可能面临产品不能随时变现、持有期与资金需求日不匹配的流动性风险,并可能使投资者丧失其他投资机会。

为防范流动性风险,本理财产品管理人通过对国内外宏观经济形势、市场利率走势以及债券市场资金供求情况的综合分析预测债券市场利率走势,合理安排所投资产期限,持续根据市场变化情况做好投资安排,尽可能降低产品流动性风险,有效保障理财持有人利益。

报告期内,本理财产品管理人严格遵守相关法律法规以及产品销售协议,对理财产品组合资产的流动性风险进行管理,报告期内未发生流动性风险。

五、投资账户信息

账户类型

账户编号

账户名称

托管账户

595900294310817

泉州银行-海西源泉悦盈系列一年定开净值型理财产品002期

 

附件:产品托管报告

 

泉州银行股份有限公司

2025年1月16日