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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
20180908 1.6956 3.1340%
20180907 0.8454 3.1340%
20180906 0.8372 3.1680%
20180905 0.8462 3.1670%
20180904 0.8474 3.1600%
20180903 0.8466 3.1510%
20180901 1.6963 3.1370%
20180831 0.9076 3.1620%
20180830 0.8365 3.0940%
20180829 0.8332 3.2040%
20180828 0.8305 3.2150%
20180827 0.8203 3.2200%
20180825 1.7426 3.2460%
20180824 0.7807 3.2610%
20180823 1.0417 3.3290%
20180822 0.8535 3.2200%
20180821 0.8390 3.1860%
20180820 0.8689 3.1180%
20180818 1.7698 3.1590%
20180817 0.9086 3.2490%