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
20220207 0.5476 2.0320%
20220128 0.7958 2.4320%
20220127 0.5427 2.2920%
20220126 0.5189 2.2870%
20220125 0.5209 2.3220%
20220124 1.1768 2.3490%
20220121 0.5336 2.0400%
20220120 0.5339 2.2560%
20220119 0.5849 2.2520%
20220118 0.5703 2.3470%
20220117 0.5486 2.3450%
20220114 0.9398 2.5080%
20220113 0.5268 2.6180%
20220112 0.7630 2.8060%
20220111 0.5657 2.8430%
20220110 0.8252 2.9630%
20220107 1.1454 3.1910%
20220106 0.8786 3.0500%
20220105 0.8316 3.1320%
20220104 0.7891 3.0690%