首页 - 基金理财 - 历史收益
大成丰财宝货币市场基金
日期 万份收益 七日年化收益率
20250304 0.4480 1.6230%
20250303 0.4481 1.6270%
20250301 0.8969 1.6320%
20250228 0.3840 1.6160%
20250227 0.4514 1.6430%
20250226 0.4589 1.6420%
20250225 0.4564 1.6380%
20250224 0.4574 1.6410%
20250222 0.8662 1.6390%
20250221 0.4346 1.6510%
20250220 0.4502 1.6570%
20250219 0.4508 1.6560%
20250218 0.4628 1.6560%
20250217 0.4529 1.6520%
20250215 0.8900 1.6560%
20250214 0.4456 1.6730%
20250213 0.4486 1.6810%
20250212 0.4507 1.6860%
20250211 0.4548 1.6900%
20250210 0.4600 1.7120%