{"data":[{"begindate":1727366400000,"corpPrivFlag":2,"depositterm":"100","enddate":1727452800000,"estabdate":1727625600000,"formaturl":"/CD/jgxck/XYSD_PS_AA0304240930004.pdf","id":"fbf0a60e6df14c1eaa207c71c5312290","incomerange":"2.25%或2.15%或1.55%","maxrange":2.25,"prodname":"公司结构性存款2024年第249期(鑫和系列)","productcode":"AA0304240930004","productdescname":"XYSD_PS_AA0304240930004.pdf","productenddate":1736265600000,"productrisk":"低风险","productseqno":"AA0304240930004","remark1":"20000","remark2":"行权价1:1.0642200000,行权价2:1.1755500000","remark3":"19.18","remark4":"1.1167000000","remark5":"","scale":"10000","startamt":"1000.00","status":"a","yearincomerate":"2.25%","yield":"61.64000000"}]}
尊敬的客户:我行发行的下列产品已于2025年01月08日到期,根据产品说明书约定,现将到期情况进行信息披露...
尊敬的客户:
我行发行的下列产品已于2025年01月08日到期,根据产品说明书约定,现将到期情况进行信息披露:
结构性存款最终收益以到期实际实现收益为准。“每万元存款本金产品浮动收益(元)”、“参考年化总收益率(%)”仅为参考之用,不作为最终收益的计算依据,亦不构成我行对本结构性存款产品任何收益的承诺。
我行将于产品到期日后的二个工作日内将本金及收益划入客户指定账户。
感谢您一直以来对我行业务的信任与支持!