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
20231108 0.4797 2.1820%
20231107 0.4892 2.1940%
20231106 1.1960 2.1970%
20231104 0.9936 1.8610%
20231103 0.5013 1.9410%
20231102 0.4794 1.9780%
20231101 0.5021 2.2420%
20231031 0.4962 2.2780%
20231030 0.5634 2.2920%
20231028 1.1454 2.2660%
20231027 0.5706 2.1700%
20231026 0.9756 2.0990%
20231025 0.5681 1.9340%
20231024 0.5228 1.8920%
20231023 0.5145 1.8710%
20231021 0.9647 1.8670%
20231020 0.4387 1.9100%
20231019 0.6651 1.9540%
20231018 0.4883 1.8800%
20231017 0.4843 1.8970%