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
20220329 0.7208 2.6200%
20220328 0.7154 2.5950%
20220326 1.3912 2.5730%
20220325 0.6956 2.5470%
20220324 0.6920 2.5330%
20220323 0.7449 2.5220%
20220322 0.6743 2.5230%
20220321 0.6741 2.5170%
20220319 1.3420 2.5110%
20220318 0.6710 2.4940%
20220317 0.6709 2.4870%
20220316 0.7458 2.4790%
20220315 0.6641 2.4290%
20220314 0.6619 2.4210%
20220312 1.3100 2.4190%
20220311 0.6584 2.4290%
20220310 0.6565 2.4690%
20220309 0.6520 2.4930%
20220308 0.6483 2.5070%
20220307 0.6596 2.5980%