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
20220629 0.4599 1.9620%
20220628 0.4513 1.9550%
20220627 0.7258 1.9440%
20220625 0.9252 1.7880%
20220624 0.7084 1.7370%
20220623 0.4561 1.7810%
20220622 0.4461 2.0880%
20220621 0.4309 2.0710%
20220620 0.4330 2.0580%
20220618 0.8279 2.1530%
20220617 0.7923 2.1480%
20220616 1.0324 1.9460%
20220615 0.4156 1.6200%
20220614 0.4049 1.6270%
20220613 0.6129 1.6370%
20220611 0.8187 1.6290%
20220610 0.4122 1.6700%
20220609 0.4183 1.6890%
20220608 0.4273 1.7060%
20220607 0.4238 1.7210%