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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
20140815 1.1862 4.4730%
20140814 1.1839 4.4810%
20140813 1.1893 4.4880%
20140812 1.1933 4.4920%
20140811 1.2394 4.4880%
20140809 2.4001 4.4530%
20140808 1.2007 4.4200%
20140807 1.1968 4.4050%
20140806 1.1975 4.3930%
20140805 1.1857 4.3810%
20140804 1.1755 4.3740%
20140802 2.3393 4.3740%
20140801 1.1723 4.3800%
20140731 1.1757 4.3800%
20140730 1.1753 4.3820%
20140729 1.1728 4.3870%
20140728 1.1759 4.3930%
20140726 2.3489 4.3990%
20140725 1.1735 4.4160%
20140724 1.1799 4.4260%