首页 - 基金理财 - 历史收益
华夏财富宝货币市场基金
日期 万份收益 七日年化收益率
20221212 0.4392 1.5970%
20221210 0.9278 1.6000%
20221209 0.4527 1.5700%
20221208 0.4588 1.4750%
20221207 0.4607 1.4420%
20221206 0.2991 1.4490%
20221205 0.4461 1.5350%
20221203 0.8708 1.5370%
20221202 0.2728 1.5480%
20221201 0.3955 1.5980%
20221130 0.4738 1.5640%
20221129 0.4634 1.4470%
20221128 0.4497 1.3430%
20221126 0.8918 1.3390%
20221125 0.3663 1.3430%
20221124 0.3306 1.3880%
20221123 0.2534 1.4010%
20221122 0.2665 1.4860%
20221121 0.4417 1.5630%
20221119 0.8998 1.5490%