首页 - 基金理财 - 历史收益
嘉合货币市场基金
日期 万份收益 七日年化收益率
20250214 0.3608 1.5290%
20250213 0.7687 1.5130%
20250212 0.3111 1.5820%
20250211 0.4804 1.6270%
20250210 0.3281 1.6020%
20250208 0.6605 1.6570%
20250207 0.3307 1.7650%
20250206 0.8986 1.8180%
20250205 0.3973 1.5710%
20250128 3.4561 1.5890%
20250127 0.4457 1.9390%
20250125 0.8289 1.9380%
20250124 0.5957 1.9770%
20250123 0.8639 1.9560%
20250122 0.6708 1.7310%
20250121 0.2790 1.5830%
20250120 0.4425 1.6650%
20250118 0.9031 1.6880%
20250117 0.5555 1.5540%
20250116 0.4406 1.5710%