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
20210127 0.7841 2.8150%
20210126 0.7610 2.8410%
20210125 0.7563 2.8190%
20210123 1.5137 2.7990%
20210122 0.7567 2.7700%
20210121 0.7522 2.7560%
20210120 0.8337 2.7690%
20210119 0.7187 2.7980%
20210118 0.7187 2.8140%
20210116 1.4603 2.8440%
20210115 0.7303 2.8990%
20210114 0.7772 2.9270%
20210113 0.8868 2.9340%
20210112 0.7485 2.9060%
20210111 0.7746 2.9730%
20210109 1.5644 2.9900%
20210108 0.7822 3.0110%
20210107 0.7892 3.0220%
20210106 0.8342 3.0290%
20210105 0.8736 3.0570%