首页 - 基金理财 - 历史收益
建信天添益货币市场基金
日期 万份收益 七日年化收益率
20230420 0.6009 2.2090%
20230419 0.6013 2.2120%
20230418 0.5785 2.2140%
20230417 0.6042 2.2340%
20230415 1.2040 2.2430%
20230414 0.6010 2.2590%
20230413 0.6074 2.2690%
20230412 0.6042 2.2800%
20230411 0.6165 2.3390%
20230410 0.6211 2.3940%
20230408 1.2334 2.4590%
20230407 0.6199 2.5970%
20230406 0.6293 2.6640%
20230405 0.7136 2.7040%
20230404 0.7200 2.6800%
20230403 0.7431 2.6420%
20230401 1.4916 2.5730%
20230331 0.7451 2.4220%
20230330 0.7032 2.3510%
20230329 0.6687 2.3010%