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货币型基金

基金代码 基金名称 2017-05-24 2017-05-23 成立日期 基金经理
万份单位收益 7日年化收益率% 万份单位收益 7日年化收益率%
000883中金现金管家B1.08906.92%1.08996.80%2014-11-28--
000902国开货币B0.90096.73%4.66956.78%2015-01-14--
000882中金现金管家A1.03536.67%1.02376.54%2014-11-28--
000901国开货币A0.83676.47%4.60736.53%2015-01-14--
002706民生加银现金添利1.14404.28%1.15115.27%2016-06-22--
001930华夏收益宝货币B1.09625.18%2.28274.97%2015-10-30--
004078金信民发货币B1.16455.06%1.16124.92%2016-12-16--
003480财通资管鑫管家B----1.25054.70%2016-10-25--
001929华夏收益宝货币A1.02904.91%2.21664.70%2015-10-30--
004077金信民发货币A1.15454.84%1.09504.67%2016-12-16--
001788中欧骏盈货币B1.66254.17%0.73394.61%2015-12-24--
000621易方达现金增利B1.06004.53%1.13774.61%2015-02-05--
003679中融现金增利货币C1.15724.54%1.20604.58%2016-11-22--
003281广发活期宝B1.21354.54%1.21614.54%2016-09-02--
004201华夏财富宝B1.20944.55%1.39794.52%2016-12-27--
002758建信现金增利货币----1.18564.48%2016-07-26--
003479财通资管鑫管家A1.14254.52%1.18164.45%2016-10-25--
003969交银天益宝货币E1.19084.44%1.19084.44%2016-12-20--
003871华泰柏瑞天添宝货币B1.20054.46%1.19914.44%2016-11-23--
004173嘉实增益宝货币1.18334.44%1.17454.44%2016-12-27--
003753工银如意货币B1.19044.46%1.18884.44%2016-12-23--
004589民生腾元宝货币B1.19244.44%1.19384.44%2017-04-19--
002248新疆前海联合海盈货币B1.11764.49%1.15774.43%2015-12-24--
003474南方天天利B1.13064.37%1.19004.39%2016-10-20--
000790易方达龙宝B1.14484.36%1.51584.38%2014-09-12--
004417兴全货币B1.22974.39%1.22184.38%2017-03-31--
004217兴业安润货币B1.17474.37%1.17444.36%2017-01-06--
003423国寿安保添利货币B1.19074.38%1.18004.36%2016-12-27--
000620易方达现金增利A0.99664.28%1.07264.36%2015-02-05--
002201大成慧成B1.44394.56%1.14764.35%2016-02-03--
数据时间:2017-05-25 06:31:43

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