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
20230118 0.3289 1.7510%
20230117 0.6075 1.8420%
20230116 0.4011 1.7390%
20230113 0.4121 1.7210%
20230112 0.4789 1.7190%
20230111 0.4994 1.7630%
20230110 0.4137 1.7110%
20230109 0.4559 2.7620%
20230106 0.4080 3.3160%
20230105 0.5629 3.2880%
20230104 0.4014 3.1760%
20230103 2.3849 3.2070%
20221231 0.8334 1.8290%
20221230 0.3546 1.6530%
20221229 0.3561 1.6320%
20221228 0.4587 1.6330%
20221227 0.4834 1.6240%
20221226 0.4901 1.6020%
20221223 0.3146 1.5780%
20221222 0.3594 1.5710%