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
20211201 0.6378 2.3930%
20211130 0.6892 2.4190%
20211129 0.6310 2.4520%
20211126 0.7347 2.4140%
20211125 0.6249 2.4410%
20211124 0.6887 2.4340%
20211123 0.7522 2.5360%
20211122 0.6070 2.5220%
20211119 0.7872 2.5200%
20211118 0.6104 2.4260%
20211117 0.8847 2.4310%
20211116 0.7253 2.2860%
20211115 0.6107 2.2220%
20211112 0.6069 2.2180%
20211111 0.6199 2.2180%
20211110 0.6068 2.2130%
20211109 0.6032 2.2090%
20211108 0.6044 2.2130%
20211106 1.2122 2.2180%
20211105 0.6076 2.2320%