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
20211201 0.5407 1.8570%
20211130 0.5352 1.8260%
20211129 0.4951 1.7950%
20211126 0.4926 1.7570%
20211125 0.4767 1.7490%
20211124 0.4829 1.7440%
20211123 0.4755 1.7410%
20211122 0.4680 1.7370%
20211119 0.4789 1.7070%
20211118 0.4662 1.7420%
20211117 0.4778 1.7500%
20211116 0.4681 1.7530%
20211115 0.4482 1.7590%
20211112 0.5446 1.7860%
20211111 0.4823 1.7490%
20211110 0.4831 1.7510%
20211109 0.4794 1.7500%
20211108 0.4793 1.7440%
20211105 0.4760 1.7740%
20211104 0.4854 1.8540%