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
20211021 0.5765 2.1880%
20211020 0.5976 2.2050%
20211019 0.5841 2.2160%
20211018 0.5678 2.2540%
20211016 1.1850 2.3120%
20211015 0.6398 2.3940%
20211014 0.6080 2.4090%
20211013 0.6185 2.4480%
20211012 0.6566 2.4810%
20211011 0.6763 2.4940%
20211009 1.3373 2.4960%
20211008 0.6693 2.5090%
20211001 4.7641 2.5150%
20210930 0.6602 2.5610%
20210929 0.7649 2.5570%
20210928 0.6597 2.5270%
20210927 0.6473 2.4940%
20210925 1.2718 2.4700%
20210924 0.8451 2.4360%
20210923 0.6540 2.3330%