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
20210121 0.6818 2.3340%
20210120 0.5818 2.3170%
20210119 0.6591 2.3200%
20210118 0.6266 2.2760%
20210116 1.1450 2.2640%
20210115 0.7314 2.2700%
20210114 0.6496 2.2630%
20210113 0.5862 2.2430%
20210112 0.5782 2.2770%
20210111 0.6031 2.3300%
20210109 1.1565 2.3710%
20210108 0.7174 2.4500%
20210107 0.6137 2.4150%
20210106 0.6495 2.4360%
20210105 0.6765 2.4640%
20210104 0.6799 2.4590%
20210101 1.9573 2.4560%
20201231 0.6525 2.5160%
20201230 0.7030 2.5200%
20201229 0.6672 2.5390%