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
20200929 0.7394 2.3740%
20200928 0.6444 2.4430%
20200926 1.2724 2.3990%
20200925 0.6035 2.3230%
20200924 0.6419 2.9660%
20200923 0.5990 2.8780%
20200922 0.8681 2.9920%
20200921 0.5616 2.8220%
20200919 1.1310 2.7340%
20200918 1.8037 2.5680%
20200917 0.4778 1.8240%
20200916 0.8128 1.7860%
20200915 0.5500 1.5620%
20200914 0.3975 1.6190%
20200912 0.8208 1.8200%
20200911 0.4086 1.8850%
20200910 0.4058 1.9180%
20200909 0.3894 1.9510%
20200908 0.6576 1.9950%
20200907 0.7768 1.9000%