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货币型基金

基金代码 基金名称 每万份收益 7日年化收益率 近一个月 近三个月 今年以来 成立以来
519589交银货币B1.25081.8630%0.13%0.38%1.40%67.72%
020827交银货币D1.25051.8620%0.13%0.38%1.40%2.97%
017203中信保诚薪金宝货币E0.39591.7890%0.12%0.34%1.27%5.11%
210013金鹰货币B0.54151.7820%0.13%0.37%1.41%47.78%
002195中银机构现金管理货币A0.31581.7490%0.12%0.33%1.23%27.46%
001233嘉合货币B0.47391.6990%0.12%0.36%1.39%32.92%
003753工银如意货币B0.40791.6930%0.13%0.37%1.33%26.51%
004369前海开源聚财宝B0.34971.6930%0.13%0.37%1.38%25.41%
019967工银如意货币C0.40771.6930%0.13%0.37%1.33%3.69%
020945工银如意货币D0.40771.6930%0.13%0.37%1.33%2.70%
025636工银如意货币E0.40801.6930%0.13%----0.17%
000740兴银货币B0.36881.6920%0.12%0.36%1.36%31.31%
007866创金合信货币C0.30151.6700%0.12%0.37%1.42%14.17%
023625创金合信货币F0.30161.6700%0.12%0.37%--1.05%
010883中信保诚智惠金货币C0.35271.6690%0.12%0.37%1.41%10.29%
001026诺安理财宝货币C0.38501.6440%0.12%0.36%1.33%31.66%
001909创金合信货币A0.29061.6290%0.12%0.36%1.38%29.59%
004373金鹰增益货币B0.46651.6290%0.12%0.35%1.34%25.25%
002299招商招福宝货币B0.36211.6270%0.12%0.36%1.37%21.59%
020826交银货币C1.18511.6180%0.11%0.32%1.19%2.43%
519588交银货币A1.18491.6180%0.11%0.32%1.19%65.08%
000204国富日日收益货币B0.31441.5950%0.11%0.32%1.22%41.07%
000599中信保诚薪金宝货币A0.34361.5890%0.10%0.29%1.09%34.82%
004262招商招禧宝货币B0.36231.5730%0.12%0.36%1.39%24.19%
400005东方金账簿货币A0.39771.5600%0.12%0.36%1.34%72.43%
400006东方金账簿货币B0.39811.5600%0.12%0.36%1.34%34.91%
016565中银活期宝货币B0.37971.5480%0.13%0.36%1.33%6.02%
002918交银现金宝货币E0.36021.5470%0.11%0.34%1.26%24.98%
017629中银机构现金管理货币E0.26141.5450%0.10%0.28%1.05%4.64%
210012金鹰货币A0.47581.5400%0.11%0.31%1.20%43.27%
数据时间:2025-11-14
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