首页 - 基金理财 - 历史收益
招商招福宝货币市场基金
日期 万份收益 七日年化收益率
20240710 0.4476 1.6740%
20240709 0.4485 1.6790%
20240708 0.4818 1.7130%
20240706 0.9012 1.7100%
20240705 0.4507 1.7400%
20240704 0.4540 1.7800%
20240703 0.4573 1.7950%
20240702 0.5128 1.8900%
20240701 0.4754 1.8640%
20240629 0.9582 1.9520%
20240628 0.5266 1.9220%
20240627 0.4808 1.8930%
20240626 0.6366 1.8950%
20240625 0.4642 1.8320%
20240624 0.6408 2.1210%
20240622 0.9024 2.0250%
20240621 0.4726 2.0360%
20240620 0.4829 2.0370%
20240619 0.5187 2.0290%
20240618 1.0079 2.0070%