首页 - 基金理财 - 历史收益
景顺长城景丰货币市场基金
日期 万份收益 七日年化收益率
20240828 0.5639 1.6720%
20240827 0.4497 1.6070%
20240826 0.4396 1.7450%
20240824 0.8779 1.7470%
20240823 0.4389 1.7560%
20240822 0.4372 1.7600%
20240821 0.4381 1.7640%
20240820 0.7140 2.0260%
20240819 0.4440 1.8850%
20240817 0.8951 1.8880%
20240816 0.4468 1.8840%
20240815 0.4451 1.8820%
20240814 0.9397 1.8810%
20240813 0.4443 1.7370%
20240812 0.4494 1.7390%
20240810 0.8876 1.8020%
20240809 0.4437 1.8190%
20240808 0.4433 1.8270%
20240807 0.6633 1.8640%
20240806 0.4469 1.7990%