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
20180305 1.2762 4.3860%
20180303 2.3135 4.3300%
20180302 1.1559 4.3410%
20180301 1.1602 4.3490%
20180228 1.1597 4.5090%
20180227 1.1677 4.5150%
20180226 1.1736 4.5160%
20180224 2.3332 4.5150%
20180223 1.1706 4.5210%
20180222 1.4542 4.5230%
20180215 8.2050 4.3710%
20180214 1.1751 4.5510%
20180213 1.2082 4.5370%
20180212 1.4293 4.5140%
20180210 2.3261 4.3720%
20180209 1.2302 4.3810%
20180208 1.1659 4.3510%
20180207 1.1504 4.3640%
20180206 1.1668 4.3810%
20180205 1.1668 4.3860%