首页 - 基金理财 - 历史收益
安信活期宝货币市场基金
日期 万份收益 七日年化收益率
20210524 0.5763 2.0720%
20210521 0.5427 2.1050%
20210520 0.5699 2.1150%
20210519 0.5801 2.1080%
20210518 0.5770 2.1270%
20210517 0.6298 2.1100%
20210514 0.5604 2.1570%
20210513 0.5581 2.1530%
20210512 0.6153 2.1600%
20210511 0.5452 2.1360%
20210510 0.7061 2.1500%
20210507 0.5531 2.0960%
20210506 0.5702 2.1520%
20210430 0.6586 2.2190%
20210429 0.5771 2.2070%
20210428 0.7965 2.1790%
20210427 0.5760 2.0410%
20210426 0.5356 2.3190%
20210423 0.6366 2.5570%
20210422 0.5254 2.6210%