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
20220323 0.5371 2.3180%
20220322 0.5308 2.3130%
20220321 1.0538 2.4480%
20220319 1.0755 2.1610%
20220318 0.5384 2.1460%
20220317 0.6590 2.1360%
20220316 0.5288 2.2120%
20220315 0.7825 2.2110%
20220314 0.5160 2.0740%
20220312 1.0469 2.2280%
20220311 0.5199 2.2220%
20220310 0.8016 2.2660%
20220309 0.5264 2.1330%
20220308 0.5269 2.2120%
20220307 0.8045 2.3930%
20220305 1.0349 2.2970%
20220304 0.6024 2.3370%
20220303 0.5531 2.3260%
20220302 0.6750 2.5320%
20220301 0.8646 2.4610%