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
20230302 0.6121 2.2850%
20230301 0.6145 2.2960%
20230228 0.6265 2.2960%
20230227 0.6147 2.2780%
20230225 1.2444 2.2660%
20230224 0.6216 2.2110%
20230223 0.6310 2.1840%
20230222 0.6160 2.1680%
20230221 0.5927 2.1130%
20230220 0.5915 2.1080%
20230218 1.1422 2.1080%
20230217 0.5701 2.1160%
20230216 0.6018 2.1190%
20230215 0.5126 2.0960%
20230214 0.5835 2.1000%
20230213 0.5913 2.0720%
20230211 1.1562 2.0510%
20230210 0.5765 2.0410%
20230209 0.5580 2.0350%
20230208 0.5211 2.0370%