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
20190919 0.6356 2.3540%
20190918 0.6328 2.3570%
20190917 0.6338 2.3620%
20190916 0.6273 2.3650%
20190913 1.9320 2.3630%
20190912 0.6419 2.3570%
20190911 0.6424 2.3410%
20190910 0.6401 2.3430%
20190909 0.6220 2.3340%
20190907 1.2812 2.3460%
20190906 0.6406 2.3710%
20190905 0.6112 2.3830%
20190904 0.6459 2.3990%
20190903 0.6247 2.4030%
20190902 0.6436 2.4220%
20190831 1.3283 2.4280%
20190830 0.6621 2.4230%
20190829 0.6417 2.4190%
20190828 0.6539 2.4070%
20190827 0.6608 2.4100%