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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
20200117 0.7007 2.9930%
20200116 0.7808 3.0120%
20200115 1.2735 2.9940%
20200114 0.7026 2.7150%
20200113 0.7251 2.7530%
20200111 1.4735 2.7770%
20200110 0.7366 2.8220%
20200109 0.7459 2.8460%
20200108 0.7541 2.8500%
20200107 0.7725 2.8160%
20200106 0.7702 2.7660%
20200104 1.5586 2.7440%
20200103 0.7806 2.6840%
20200102 0.7539 2.5930%
20200101 0.6901 2.4910%
20191231 0.6787 2.4990%
20191230 0.7292 2.5240%
20191228 1.4471 2.5140%
20191227 0.6099 2.5130%
20191226 0.5641 2.5730%