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
20210113 0.7252 2.4760%
20210112 0.6149 2.4590%
20210111 0.6236 2.5410%
20210109 1.3048 2.5970%
20210108 0.6513 2.6730%
20210107 0.7713 2.7120%
20210106 0.6936 2.6820%
20210105 0.7676 2.7440%
20210104 0.7282 3.0490%
20210101 2.1718 3.0160%
20201231 0.7155 2.7980%
20201230 0.8086 2.7790%
20201229 1.3353 2.7060%
20201228 0.6681 2.3330%
20201225 0.8045 2.6580%
20201224 0.6806 2.5630%
20201223 0.6712 2.6960%
20201222 0.6374 2.7610%
20201221 1.0155 2.9600%
20201218 0.6271 2.9040%