首页 - 基金理财 - 历史收益
中信保诚货币市场证券投资基金
日期 万份收益 七日年化收益率
20240902 0.4562 1.8780%
20240831 0.9168 1.8760%
20240830 0.6445 1.8680%
20240829 0.4560 1.8660%
20240828 0.4572 1.8600%
20240827 0.6378 1.8530%
20240826 0.4528 1.8660%
20240824 0.9005 1.8590%
20240823 0.6417 1.8470%
20240822 0.4447 1.7400%
20240821 0.4444 1.7370%
20240820 0.6617 1.7360%
20240819 0.4405 1.7840%
20240817 0.8774 1.7800%
20240816 0.4388 1.7660%
20240815 0.4406 1.7620%
20240814 0.4418 1.7580%
20240813 0.7521 1.7530%
20240812 0.4336 1.7230%
20240810 0.8504 1.7200%