首页 - 基金理财 - 历史收益
平安财富宝货币市场基金
日期 万份收益 七日年化收益率
20241220 0.4711 1.7500%
20241219 0.4743 1.7680%
20241218 0.4686 1.7940%
20241217 0.5185 1.8080%
20241216 0.4672 1.7790%
20241214 0.9282 1.8290%
20241213 0.5035 1.8230%
20241212 0.5248 1.8420%
20241211 0.4938 1.8080%
20241210 0.4636 1.8080%
20241209 0.5628 1.8300%
20241207 0.9162 1.7780%
20241206 0.5392 1.7850%
20241205 0.4604 1.7510%
20241204 0.4936 1.7560%
20241203 0.5049 1.7420%
20241202 0.4658 1.7230%
20241130 0.9300 1.7240%
20241129 0.4752 1.7280%
20241128 0.4683 1.7610%