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
20230801 0.7735 1.8990%
20230731 0.4680 1.7680%
20230729 0.9730 1.7700%
20230728 0.4827 1.7620%
20230727 0.4522 1.7590%
20230726 0.4579 1.7720%
20230725 0.5273 1.7800%
20230724 0.4719 1.8610%
20230722 0.9579 1.8600%
20230721 0.4778 1.8610%
20230720 0.4766 1.8610%
20230719 0.4715 1.8550%
20230718 0.6805 2.0370%
20230717 0.4699 1.9130%
20230715 0.9601 1.9200%
20230714 0.4772 1.9400%
20230713 0.4651 1.9510%
20230712 0.8138 1.9680%
20230711 0.4476 1.8880%
20230710 0.4835 1.9360%