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
20190828 2.0338 3.3550%
20190827 0.6408 2.5940%
20190826 0.6427 3.5710%
20190824 1.2685 3.5590%
20190823 1.1105 3.5500%
20190822 0.6321 3.8290%
20190821 0.6164 3.8080%
20190820 2.4589 3.8000%
20190819 0.6200 2.7970%
20190817 1.2519 2.9110%
20190816 1.6275 2.8260%
20190815 0.5929 2.2490%
20190814 0.6026 2.2240%
20190813 0.5951 2.1850%
20190812 0.8340 3.5180%
20190810 1.0920 3.3570%
20190809 0.5484 3.3500%
20190808 0.5468 3.5210%
20190807 0.5288 3.5140%
20190806 3.0816 3.5140%