首页 - 基金理财 - 历史收益
华夏货币市场基金
日期 万份收益 七日年化收益率
20241216 0.4574 2.1010%
20241214 0.8986 2.2540%
20241213 0.6578 2.2380%
20241212 0.4583 2.1210%
20241211 0.4700 2.1140%
20241210 1.0449 2.1420%
20241209 0.7451 1.8580%
20241207 0.8696 1.7040%
20241206 0.4369 1.7170%
20241205 0.4448 1.7230%
20241204 0.5237 1.8040%
20241203 0.5107 1.7670%
20241202 0.4540 1.7360%
20241130 0.8954 1.7330%
20241129 0.4480 1.7260%
20241128 0.5980 1.7230%
20241127 0.4533 1.7510%
20241126 0.4513 1.7490%
20241125 0.4488 1.7470%
20241123 0.8832 1.7470%