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
20190912 0.6720 2.6180%
20190911 0.7526 2.6180%
20190910 0.6728 2.5760%
20190909 0.7993 2.6240%
20190907 1.3306 2.5590%
20190906 0.7285 2.5730%
20190905 0.6723 2.5460%
20190904 0.6744 2.6070%
20190903 0.7621 2.6090%
20190902 0.6776 2.5660%
20190831 1.3566 2.5690%
20190830 0.6786 2.5700%
20190829 0.7866 2.5700%
20190828 0.6783 2.6940%
20190827 0.6812 2.7070%
20190826 0.6841 2.7370%
20190824 1.3576 2.7560%
20190823 0.6790 2.7470%
20190822 1.0181 2.8090%
20190821 0.7027 2.6240%