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长城收益宝货币市场基金
日期 万份收益 七日年化收益率
20220907 0.6156 2.1170%
20220906 0.6739 2.0840%
20220905 0.5428 2.0190%
20220903 1.0916 2.0230%
20220902 0.5457 2.0250%
20220901 0.5490 2.0270%
20220831 0.5521 2.0240%
20220830 0.5519 2.0330%
20220829 0.5508 2.0260%
20220827 1.0960 2.0220%
20220826 0.5479 2.0250%
20220825 0.5452 2.0740%
20220824 0.5675 2.0770%
20220823 0.5400 2.0660%
20220822 0.5423 2.0690%
20220820 1.1028 2.0720%
20220819 0.6383 2.0650%
20220818 0.5509 2.0650%
20220817 0.5484 2.0620%
20220816 0.5447 2.0600%