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
20220615 0.5184 2.0240%
20220614 0.7182 2.0940%
20220613 0.5134 2.0030%
20220611 1.0384 2.0320%
20220610 0.5189 2.0840%
20220609 0.5366 2.1110%
20220608 0.6481 2.1290%
20220607 0.5480 2.0900%
20220606 0.5672 2.1050%
20220603 1.7061 2.1120%
20220602 0.5703 2.1330%
20220601 0.5759 2.1410%
20220531 0.5754 2.1400%
20220530 0.5799 2.1400%
20220528 1.1650 2.1360%
20220527 0.5821 2.1270%
20220526 0.5836 2.1290%
20220525 0.5757 2.1230%
20220524 0.5740 2.1220%
20220523 0.5737 2.1250%