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
20220609 0.3758 1.4560%
20220608 0.3842 1.5140%
20220607 0.3852 1.5210%
20220606 0.4554 1.7770%
20220603 1.1719 1.7440%
20220602 0.4855 1.7570%
20220601 0.3973 1.7630%
20220531 0.8672 1.8080%
20220530 0.3932 1.5400%
20220528 0.7987 1.6080%
20220527 0.3988 1.6110%
20220526 0.4961 1.7740%
20220525 0.4818 1.7140%
20220524 0.3617 1.7300%
20220523 0.5230 1.9210%
20220521 0.8040 1.8280%
20220520 0.7055 1.7720%
20220519 0.3835 1.6240%
20220518 0.5124 1.6060%
20220517 0.7213 1.6280%