首页 - 基金理财 - 历史收益
国联日日盈交易型货币市场基金
日期 万份收益 七日年化收益率
20231202 1.3813 2.5200%
20231201 0.6908 2.4660%
20231130 0.6911 2.4400%
20231129 0.6915 2.4120%
20231128 0.6874 2.3880%
20231127 0.6310 2.3600%
20231125 1.2806 2.3660%
20231124 0.6410 2.3700%
20231123 0.6401 2.3720%
20231122 0.6452 2.3760%
20231121 0.6351 2.3790%
20231120 0.6421 2.3830%
20231118 1.2891 2.3790%
20231117 0.6447 2.3710%
20231116 0.6483 2.3670%
20231115 0.6506 2.3620%
20231114 0.6424 2.3550%
20231113 0.6347 3.1090%
20231111 1.2738 3.1350%
20231110 0.6373 3.1970%