首页 - 基金理财 - 历史收益
易方达货币市场基金
日期 万份收益 七日年化收益率
20240909 0.5981 1.4580%
20240906 0.3525 1.4270%
20240905 0.4451 1.4570%
20240904 0.3045 1.4300%
20240903 0.4352 1.4300%
20240902 0.4580 1.4340%
20240830 0.4107 1.4220%
20240829 0.3930 1.4320%
20240828 0.3041 1.4600%
20240827 0.4444 1.5280%
20240826 0.3039 1.4700%
20240823 0.4297 1.4500%
20240822 0.4450 1.4420%
20240821 0.4331 1.4260%
20240820 0.3351 1.4250%
20240819 0.3050 1.4750%
20240816 0.4147 1.4580%
20240815 0.4145 1.4010%
20240814 0.4310 1.4400%
20240813 0.4297 1.4310%