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
20190711 0.7989 2.5300%
20190710 0.6156 2.4640%
20190709 0.6471 2.5140%
20190708 0.7109 2.5510%
20190706 1.2712 2.6460%
20190705 0.7489 2.7660%
20190704 0.6740 2.8130%
20190703 0.7099 2.8750%
20190702 0.7164 2.9050%
20190701 0.8892 2.9450%
20190629 1.4951 2.8990%
20190628 0.8359 2.9130%
20190627 0.7894 2.9340%
20190626 0.7668 2.9210%
20190625 0.7909 2.9090%
20190624 0.8024 2.9230%
20190622 1.5212 2.8880%
20190621 0.8756 2.8240%
20190620 0.7651 2.7900%
20190619 0.7444 2.7610%