首页 - 基金理财 - 历史收益
招商招益宝货币市场基金
日期 万份收益 七日年化收益率
20190219 0.5977 2.0960%
20190218 0.5335 2.0870%
20190216 1.1837 2.1120%
20190215 0.6179 2.0980%
20190214 0.5579 2.0780%
20190213 0.4885 2.0890%
20190212 0.5807 2.1380%
20190211 0.5793 2.1370%
20190202 5.2138 2.1370%
20190201 0.5792 2.3590%
20190131 0.5785 2.4380%
20190130 0.5778 2.5170%
20190129 0.5576 2.5960%
20190128 0.7265 2.6860%
20190126 1.4531 2.6850%
20190125 0.7267 2.6820%
20190124 0.7257 2.6810%
20190123 0.7261 2.6800%
20190122 0.7256 2.6790%
20190121 0.7248 2.6010%