首页 - 基金理财 - 历史收益
长城收益宝货币市场基金
日期 万份收益 七日年化收益率
20230805 1.1693 2.2390%
20230804 0.5938 2.2600%
20230803 0.6175 2.2660%
20230802 0.6443 2.2570%
20230801 0.6010 2.2330%
20230731 0.6216 2.2500%
20230729 1.2087 2.2600%
20230728 0.6043 2.2590%
20230727 0.6009 2.2580%
20230726 0.5996 2.2590%
20230725 0.6328 2.2620%
20230724 0.6407 2.2670%
20230722 1.2052 2.2580%
20230721 0.6034 2.2640%
20230720 0.6034 2.2730%
20230719 0.6053 2.2790%
20230718 0.6415 2.2870%
20230717 0.6243 2.2780%
20230715 1.2150 2.2970%
20230714 0.6203 2.3330%