首页 - 基金理财 - 历史收益
圆信永丰丰润货币市场基金
日期 万份收益 七日年化收益率
20250321 0.4329 1.6040%
20250320 0.7118 1.5590%
20250319 0.4074 1.3860%
20250318 0.4726 1.3750%
20250317 0.3485 1.6010%
20250315 0.6785 1.8290%
20250314 0.3490 1.8550%
20250313 0.3848 1.8630%
20250312 0.3852 1.8520%
20250311 0.9009 1.8470%
20250310 0.7786 1.7770%
20250308 0.7264 1.6600%
20250307 0.3637 1.6980%
20250306 0.3643 1.7170%
20250305 0.3769 1.7360%
20250304 0.7683 1.9580%
20250303 0.5576 1.7500%
20250301 0.7987 1.6390%
20250228 0.3986 1.6010%
20250227 0.4004 1.5840%