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
20191205 0.9667 2.8450%
20191204 0.9842 2.6920%
20191203 0.7397 2.5200%
20191202 0.6849 2.4890%
20191130 1.3364 2.4940%
20191129 0.6685 2.5290%
20191128 0.6808 2.5530%
20191127 0.6633 2.6410%
20191126 0.6811 2.6740%
20191125 0.6942 2.6610%
20191123 1.4018 2.6340%
20191122 0.7140 2.5650%
20191121 0.8458 2.5240%
20191120 0.7234 2.4020%
20191119 0.6570 2.3480%
20191118 0.6445 2.3320%
20191116 1.2733 2.3630%
20191115 0.6357 2.3380%
20191114 0.6187 2.3280%
20191113 0.6217 2.3510%