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华夏财富宝货币市场基金
日期 万份收益 七日年化收益率
20210601 0.6725 2.1930%
20210531 0.5783 2.1690%
20210529 1.1301 2.2080%
20210528 0.5676 2.2130%
20210527 0.6110 2.2420%
20210526 0.6000 2.2580%
20210525 0.6279 2.2550%
20210524 0.6520 2.2310%
20210522 1.1402 2.1780%
20210521 0.6207 2.1890%
20210520 0.6419 2.1480%
20210519 0.5940 2.1230%
20210518 0.5830 2.1570%
20210517 0.5533 2.1660%
20210515 1.1607 2.1990%
20210514 0.5425 2.2230%
20210513 0.5954 2.2980%
20210512 0.6585 2.3690%
20210511 0.5990 2.3440%
20210510 0.6157 2.3510%