首页 - 基金理财 - 历史收益
易方达天天增利货币市场基金
日期 万份收益 七日年化收益率
20250226 0.4429 1.6370%
20250225 0.4363 1.6260%
20250224 0.4457 1.6200%
20250222 0.8942 1.6070%
20250221 0.4562 1.5610%
20250220 0.4394 1.5330%
20250219 0.4213 1.5260%
20250218 0.4258 1.5170%
20250217 0.4212 1.5120%
20250215 0.8066 1.5090%
20250214 0.4041 1.5260%
20250213 0.4254 1.5350%
20250212 0.4053 1.5570%
20250211 0.4151 1.6050%
20250210 0.4152 1.6620%
20250208 0.8389 1.7200%
20250207 0.4212 1.8310%
20250206 0.4681 1.8850%
20250205 0.4946 1.9150%
20250128 4.1909 1.9300%