首页 - 基金理财 - 历史收益
富兰克林国海日日收益货币市场证券投资基金
日期 万份收益 七日年化收益率
20250120 0.3619 2.3540%
20250118 0.6848 2.3550%
20250117 2.1663 2.3460%
20250116 0.5243 1.3740%
20250115 0.3623 1.4310%
20250114 0.3636 1.4390%
20250113 0.3631 1.5060%
20250111 0.6672 1.5110%
20250110 0.3372 1.5510%
20250109 0.6316 1.5610%
20250108 0.3766 1.4260%
20250107 0.4909 1.4260%
20250106 0.3724 1.3630%
20250104 0.7434 1.3720%
20250103 0.3549 1.3800%
20250102 0.3781 1.4760%
20250101 0.3757 1.4780%
20241231 0.3717 1.4800%
20241230 0.3897 1.4860%
20241228 0.7593 1.4830%