首页 - 基金理财 - 历史收益
信澳慧理财货币市场基金
日期 万份收益 七日年化收益率
20250304 0.3720 1.3840%
20250303 0.3741 1.3860%
20250301 0.7566 1.4190%
20250228 0.3779 1.4130%
20250227 0.3800 1.4130%
20250226 0.3763 1.4080%
20250225 0.3741 1.4040%
20250224 0.4374 1.4020%
20250222 0.7458 1.3630%
20250221 0.3770 1.3510%
20250220 0.3706 1.3430%
20250219 0.3692 1.3340%
20250218 0.3692 1.3280%
20250217 0.3655 1.3300%
20250215 0.7226 1.5090%
20250214 0.3609 1.5160%
20250213 0.3541 1.5530%
20250212 0.3571 1.6850%
20250211 0.3745 1.7440%
20250210 0.7035 1.8020%