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
20220401 0.6770 2.3960%
20220331 0.6146 2.3840%
20220330 0.6563 2.3980%
20220329 0.6552 2.3820%
20220328 0.6773 2.3850%
20220326 1.2610 2.3420%
20220325 0.6535 2.3060%
20220324 0.6422 2.2840%
20220323 0.6248 2.2710%
20220322 0.6625 2.2840%
20220321 0.5954 2.2780%
20220319 1.1941 2.2530%
20220318 0.6124 2.1660%
20220317 0.6169 2.0910%
20220316 0.6496 2.0270%
20220315 0.6520 1.9820%
20220314 0.5483 2.0580%
20220312 1.0308 2.3190%
20220311 0.4713 2.3180%
20220310 0.4972 2.4300%