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
20210608 0.5908 1.8840%
20210607 0.5480 1.8680%
20210604 0.4161 1.9010%
20210603 0.4718 2.0120%
20210602 0.4263 2.0120%
20210601 0.5606 2.0340%
20210531 0.4608 2.0620%
20210528 0.6241 2.0140%
20210527 0.4732 1.9330%
20210526 0.4675 1.9050%
20210525 0.6133 1.9040%
20210524 0.5298 1.8820%
20210521 0.4722 1.8820%
20210520 0.4209 1.8810%
20210519 0.4655 1.8980%
20210518 0.5718 1.8760%
20210517 0.5885 1.8520%
20210514 0.4710 1.8680%
20210513 0.4527 1.9840%
20210512 0.4242 1.9040%