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
20231024 0.5467 1.9660%
20231023 0.4817 1.9940%
20231021 0.9206 2.0560%
20231020 0.5908 2.2090%
20231019 0.5983 2.2130%
20231018 0.5965 1.9500%
20231017 0.5978 1.6900%
20231016 0.5998 1.4230%
20231014 1.2064 1.1610%
20231013 0.5991 0.6380%
20231012 0.1051 0.3790%
20231011 0.1051 0.3790%
20231010 0.0936 0.3800%
20231009 0.1054 0.3860%
20230929 1.0545 0.3860%
20230928 0.1015 0.3770%
20230927 0.1034 0.3750%
20230926 0.1011 0.3730%
20230925 0.1031 0.3720%
20230923 0.2100 0.3700%