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
20171023 1.0423 5.1400%
20171021 2.0972 5.1560%
20171020 1.0522 5.1700%
20171019 1.0636 5.1720%
20171018 2.2140 5.1860%
20171017 2.1431 4.9380%
20171016 1.0717 4.3590%
20171014 2.1240 4.3680%
20171013 1.0554 4.3970%
20171012 1.0896 4.4150%
20171011 1.7599 4.4140%
20171010 1.0825 4.0490%
20171009 1.0882 4.0520%
20170930 9.7964 4.0530%
20170929 1.0926 4.0000%
20170928 1.0513 3.9950%
20170927 1.0621 4.0120%
20170926 1.0737 4.0150%
20170925 1.0786 4.0110%
20170923 2.1636 4.5130%