首页 - 基金理财 - 历史收益
华银宜投宝货币市场基金
日期 万份收益 七日年化收益率
20230826 0.6755 1.8360%
20230825 0.3093 1.8580%
20230824 0.3193 1.8840%
20230823 0.3248 2.1240%
20230822 1.5000 2.1270%
20230821 0.3597 1.5040%
20230819 0.7176 2.3350%
20230818 0.3587 2.3090%
20230817 0.7710 2.4040%
20230816 0.3300 2.1710%
20230815 0.3256 2.1780%
20230814 1.9244 2.1800%
20230812 0.6683 1.3500%
20230811 0.5361 1.3730%
20230810 0.3343 1.5900%
20230809 0.3429 1.5960%
20230808 0.3306 1.6020%
20230807 0.3603 1.6180%
20230805 0.7118 1.6260%
20230804 0.9462 1.6420%