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
20161028 0.7163 3.0070%
20161027 0.6936 2.9950%
20161026 0.7001 2.9990%
20161025 0.6892 2.9940%
20161024 1.5086 2.9890%
20161022 1.3736 2.5400%
20161021 0.6948 2.5390%
20161020 0.7017 2.5340%
20161019 0.6909 2.5250%
20161018 0.6797 2.5270%
20161017 0.6699 2.6840%
20161015 1.3710 2.7080%
20161014 0.6854 2.6550%
20161013 0.6864 2.6290%
20161012 0.6937 2.6020%
20161011 0.9740 2.5720%
20161010 0.7132 2.3930%
20161001 5.7352 2.3520%
20160930 0.6429 2.5390%
20160929 0.6863 2.5700%