首页 - 基金理财 - 历史收益
融通汇财宝货币市场基金
日期 万份收益 七日年化收益率
20231018 0.4445 1.6300%
20231017 0.4338 1.6440%
20231016 0.4468 1.6860%
20231014 0.8869 1.7390%
20231013 0.4437 1.8630%
20231012 0.4446 1.9250%
20231011 0.4719 1.9870%
20231010 0.5117 2.0340%
20231009 0.5478 2.0600%
20230929 5.6039 2.0670%
20230928 0.5602 1.9760%
20230927 0.5715 2.0230%
20230926 0.5216 2.0470%
20230925 0.6099 1.9940%
20230923 0.9926 1.8960%
20230922 0.4976 1.8090%
20230921 0.6471 2.0310%
20230920 0.6166 2.4080%
20230919 0.4229 2.3020%
20230918 0.4263 2.2950%