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
20190228 0.8839 3.0510%
20190227 0.5408 2.8480%
20190226 1.1155 2.8340%
20190225 1.2817 2.8790%
20190223 1.0215 2.4930%
20190222 0.9203 2.5750%
20190221 0.5055 2.6020%
20190220 0.5154 3.0500%
20190219 1.1994 3.4600%
20190218 0.5601 3.1460%
20190216 1.1755 3.4030%
20190215 0.9705 3.4510%
20190214 1.3413 3.2730%
20190213 1.2773 2.8960%
20190212 0.6165 2.5550%
20190211 1.0366 2.5680%
20190202 5.7478 2.3560%
20190201 0.6415 2.5000%
20190131 0.6549 2.8460%
20190130 0.7823 2.8430%